Asset & Wealth Management - Seattle - Associate Investing & Portfolio Management – Public

Goldman Sachs Group, Inc.
Seattle; Washington, US
On-site

Why this role

Pace
Fast Paced
Collaboration
High
Autonomy
Medium
Decision Impact
Company
Role Level
Individual Contributor

Derived from job-description analysis by Serendipath's career intelligence engine.

What success looks like

  • Forecasting risk and returns on customized investment vehicles
  • Monitoring existing portfolio investments
Typical background
Master’s degree in Finance, Economics, Business or related field

Transferable backgrounds

  • Coming from Investment Analyst
  • Coming from Risk Manager

Skills & requirements

Required

Financial ModelingValuation AnalysesInvestment AnalysisOperational Due DiligenceRisk Management

Preferred

Regulatory Compliance

Stack & domain

Financial ModelingValuation AnalysesRisk And ReturnsCustomized Investment VehiclesHedge FundsInvestment IdeasPortfolio InvestmentsOperational Due DiligenceBusiness RisksComplianceInfrastructureInvestment PerformanceRisk ExposureInvestment StrategyInvestment DecisionsPortfolio PerformanceInvestment GoalsHedge Fund InvestmentsPerformance MetricsInvestment StrategiesRisk ProfilesPortfolio ConstructionRisk ManagementManagement QualityMarket TrendsPortfolio ChangesHedge Fund ManagersMarket ViewsSignificant ChangesIndustry TrendsMarket ConditionsRegulatory ChangesFinra Series 7Finra Series 63Finra SieFinancial InstrumentsGlobal Asset ClassesStocksBondsCash EquivalentsOptionsForwardsSwapsFuturesInvestment Trading StrategiesDecision ImplementationMonitoring InfrastructureQuantitative And Qualitative AttributesInvestment ObjectivesInternal StakeholdersExternal ClientsCommunicationLeadershipTeamworkProblem-solvingDecision-makingAnalysisReportingPresentationEvaluationDue DiligenceAssessmentFinanceEconomicsBusinessInvestmentPortfolio ManagementPublic

About the role

Original posting from Goldman Sachs Group, Inc.

Position: Asset & Wealth Management - Seattle - Associate Investing & Portfolio Management – Public – 8691784

Job Duties

Associate Investing & Portfolio Management – Public with Goldman Sachs & Co. LLC in Seattle, Washington. Perform financial modeling and valuation analyses to forecast risk and returns on customized investment vehicles including hedge funds. Source and analyze new investment ideas while monitoring existing portfolio investments to influence critical investment decisions, optimize portfolio performance and achieve clients' investment goals. Assist in operational due diligence utilizing advanced skills in assessing business risks, compliance, and infrastructure to ensure the integrity of investment opportunities.

Perform thorough evaluations of potential hedge fund investments, including analysis of performance metrics, investment strategies, risk profiles, quality of portfolio construction and risk management as well as management quality. Regularly review and assess the performance and risk exposure of current hedge fund investments, ensuring alignment with the overall investment strategy. Generate detailed reports and presentations on hedge fund performance, market trends, and portfolio changes for senior management and clients.

Maintain ongoing communication with hedge fund managers to stay informed about their strategies, market views, and any significant changes in their funds. Stay updated on industry trends, market conditions, and regulatory changes that could impact hedge fund investments, providing insights to support investment decisions.

Job Requirements

Master’s degree (U.S. or foreign equivalent) in Finance, Economics, Business, or a related field and one (1) year of experience in the job offered or in a related role OR Bachelor’s degree (U.S. or foreign equivalent) in Finance, Economics, Business, or a related field and three (3) years of experience in the job offered or in a related role. Prior work experience must include one (1) year (with a Master’s degree) OR three (3) years (with a Bachelor’s degree) with each of the following: identifying and evaluating investment and capital markets data to formulate opinions and conclusions relative to investment decisions at the market level and at the investment decision level;

analyzing investment management businesses in totality including the assessment of a business’ financial viability, risk management practices, human capital philosophies, system infrastructure and related controls, accounting and reporting capabilities, and compliance operating framework; conducting statistical and quantitative analyses of investment performance data of various investment managers in context of macroeconomic and capital market environments, as well as comparisons to other market practitioners;

providing recommendations on investment and divestment decisions to the Investment Committee; evaluating financial instruments across global asset classes, including stocks, bonds, cash equivalents, options, forwards, swaps, and futures; assessing investment trading strategies, decision implementation, and the infrastructure required for monitoring; and distilling complex quantitative and qualitative attributes of investment strategies into clear and actionable insights, aligning the recommendations with the stated investment objectives and communicating the results to both internal stakeholders and external clients.

FINRA Series 7, FINRA Series 63, and FINRA SIE required. The job would entail about 10% of domestic and international travel time to visit external investment managers to conduct investment and operational due diligence meetings.

Salary Range

Annual base salary for this Seattle, Washington

-based position is $172,723. May be eligible for a bonus at fiscal year-end. See benefits summary:

Equal Opportunity Statement

Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veteran status, disability, or any other characteristic protected by applicable law.

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Source: Goldman Sachs Group, Inc. careers

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