Fixed Income Cross-Sector Portfolio Management Analyst/Associate (London)

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Join to apply for the Fixed Income Cross-Sector Portfolio Management Analyst/Associate role at Goldman Sachs .
Read on to fully understand what this job requires in terms of skills and experience If you are a good match, make an application. WHO WE ARE The Goldman Sachs Group, Inc. is a leading global financial services firm providing investment banking, securities, and investment management services to a diverse client base including corporations, financial institutions, governments, and high-net-worth individuals. Headquartered in New York, with offices in London, Frankfurt, Tokyo, Bengaluru, Hong Kong, and other major financial centers worldwide.
Asset Management Division Provides investment management services and products across all major asset classes to institutional and individual clients. Offers wealth advisory, portfolio management, financial counseling, brokerage, and transaction services to high-net-worth individuals and families.
GSAM Fixed Income Goldman Sachs Asset Management (GSAM) manages Fixed Income assets globally for over two decades. Our philosophy emphasizes sector specialization, independent teams, and a mix of top-down and bottom-up analysis, with risk management at the core.
Summary Of Responsibilities We seek a London-based Analyst or Associate for our Cross-Sector investment team within GSAM Fixed Income. Responsibilities include:
Conduct research on fixed income asset allocation and portfolio construction.
Contribute to investment strategy and process innovation at the intersection of macro and credit markets.
Assist portfolio managers with multi-sector portfolio construction and implementation.
Develop market views and contribute to idea generation.
Build models and tools supporting research and investment decisions.
Support other portfolio managers with analytical and data tasks.
Create and maintain client-facing content.
Preferred Qualifications & Skillset
Master’s degree in Finance, Economics, Engineering preferred.
2-5 years of experience in investment or market research.
Strong quantitative skills, fluency in statistics, programming in Python, R, or similar.
Understanding of fixed income and macro/financial data.
Proficiency in MS Excel and Office tools.
Self-motivated, independent, effective team interaction.
Excellent communication skills in English.
Ability to multitask, problem-solve, meet deadlines.
Attention to detail and high standards.
Additional Details
Seniority level: Associate
Employment type: Full-time
Job function: Finance and Sales
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Location:
London
Job Type:
FullTime

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