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Asset & Wealth Management Multi-Asset Solutions- Portfolio Management- Analyst- Bengaluru

Goldman Sachs

Bengaluru, Karnataka, India

Full Time1-3 yearsPortfolio Management

Recently posted

Job description

The successful candidate will become a member of our Bengaluru Portfolio Management team within MAS, responsible for management and construction of multi-asset class portfolios and investment strategies in line with MAS investment philosophy, client guidelines and regulatory constraints. This role is highly analytical and detail-oriented, focusing on managing investment exposures across many asset classes and investment strategies. The Bengaluru-based team is a fully • integrated front-office investing function, operating on an equal footing to peer teams globally. Core Responsibilities Managing multi-asset class portfolios in line with client guidelines, internal investment policies, and regulatory constraints. Exercise leadership qualities and judgement, with expectation of being able to perform key portfolio management responsibilities within a few months after joining. Structuring trades to facilitate portfolio activity across asset classes (equities, fixed income, currencies, alternatives) and instruments (futures, forwards, ETFs, options, swaps, funds). Working closely with senior PMs to execute strategic and dynamic investment ideas with consistency and scale, including determining optimal instruments to trade based on client-specific, regulatory and market • related considerations. Creating investment and portfolio construction frameworks across asset classes, enhancing expertise in terms of investment alternatives. Managing portfolio risk across various investment vehicles and product desks, including exposure, currency and cash management, investment manager/vehicle oversight. Structuring trades across asset classes to manage the portfolio in line with hedging and flow considerations, in collaboration with AWM’s trading desk. Managing derivative-based overlay strategies to enhance risk management profile of overall portfolios and/or capture market risk premia. Reviewing new portfolio design and investment strategies for client portfolio suitability, with specific focus on our ability to effectively manage and implement such portfolios and strategies. Providing PM’s review and sign offs on new business and investment opportunities and leading strategic planning for effectuating the portfolio management, trading and risk management processes. Participating and at times serving as a project lead in complex portfolio events, including onboarding of new client mandates, fund launches and portfolio restructurings, requiring coordination across multiple internal investment teams throughout the firm, as well as external managers and trading counterparties. Leading small to medium-sized projects aimed at enhancing trading and risk management processes, infrastructure and analytics to further empower the team’s oversight over portfolio management activities and mitigate trading risks. Basic Qualifications: Master’s Degree or equivalent preferred 1-3 years of investment management experience, with successful track record of employing qualities and functional abilities referenced above Experience in working within a dynamic, global team; demonstrated leadership potential Advanced degree or CFA designation preferred Quantitative analysis and skillset Detail-oriented and organized with the ability to manage multiple tasks in a fast-paced environment A self-starter able to work independently and thrive in a team environment Consistently positive attitude and eagerness to work in a team-centric environment Intelligent, creative, with good problem-solving abilities Risk management and control orientation Excellent project management skills Excellent writing and communication skills Strong interest in the financial markets, good investment awareness, intermediate or advanced knowledge of asset al location principles and of factor investing approaches Ability to communicate investment strategies and rationales to audiences of varying levels of sophistication Proficient in Excel and PowerPoint; Bloomberg, Reuters or financial data systems knowledge preferred. Source: Goldman Sachs Career Page Tagged as: Investment Bank, REPE Firm