Initially you will join a team within Market Risk and Capital Analysis covering Special Situations Group and the Merchant Banking Division covering investments across private equity, debt and real-estate. Gain exposure and improve understanding of a wide range of products and investing strategies. As you grow so will your opportunities and responsibilities. We have an extensive people development program to support you in building a successful career at GS. Improve your knowledge base and network via close interaction with a broad variety of groups across the firm. Gain exposure to cutting edge market risk management techniques and systems. Actively encouraged to innovate in all areas of your role. Take advantage of a dynamic team work environment and access to senior people across the firm.
Graduate or Masters with a quantitative background with experience of long-term asset investing techniques and fundamental equity and debt valuation. Experience in a market risk team, trading role, or a similar risk and product focused role. Proven problem solving ability and control mentality. Desire & ability to communicate complex information directly with senior management both verbally and in writing. Programming skills in R, Python would be desirable.