Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London
Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London

Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London

London Full-Time 43200 - 72000 £ / year (est.) No home office possible
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Goldman Sachs Bank AG

At a Glance

  • Tasks: Join our team to manage multi-sector portfolios and conduct investment research.
  • Company: Goldman Sachs is a leading asset manager with over $3 trillion in assets under supervision.
  • Benefits: Enjoy opportunities for professional growth, collaboration, and a dynamic work environment.
  • Why this job: Be part of a prestigious firm, contribute to impactful investment strategies, and build valuable client relationships.
  • Qualifications: Bachelor's or Master's in Finance, Economics, or related fields; CFA is a plus.
  • Other info: Ideal for those passionate about fixed income markets and portfolio analysis.

The predicted salary is between 43200 - 72000 £ per year.

Asset & Wealth Management Overview

A career with Goldman Sachs Asset & Wealth Management offers the opportunity to help clients worldwide realize their potential while discovering your own. As part of a leading asset manager with over $3 trillion* in assets under supervision, you will participate in exciting investment opportunities, collaborate with talented colleagues across asset classes and regions, and build meaningful client relationships.

Fixed Income & Liquidity Solutions Overview

Within Public Investing, Fixed Income and Liquidity Solutions manage over $1.7 trillion* in assets for clients including private wealth mandates and institutional clients such as insurance companies, pension funds, and endowments. The team has a long history of investing across public fixed income strategies, including rates, currency, and credit, through collaboration among portfolio managers, research analysts, and traders.

Role Overview

We are seeking a London-based Associate to join our Multi-Sector Portfolio Management team within GSAM Fixed Income. This role offers an exciting opportunity to contribute to a dynamic investment process focused on carefully constructed and actively managed multi-sector portfolios. The ideal candidate will have a strong understanding of fixed income markets, a passion for portfolio analysis, and the ability to collaborate effectively within a team-oriented environment. Key responsibilities include:

  1. Develop Product & Market Expertise: Gain a deep understanding of Global Fixed Income Markets and the suite of Multi-Sector investment products. Develop systems knowledge encompassing performance, positioning, risk, and reporting systems.
  2. Support Portfolio Construction: Assist Multi-sector Portfolio Managers with top-down portfolio construction and implementation within the multi-sector investment process.
  3. Portfolio Implementation & Management: Translate multi-sector views across a large suite of customized accounts. Analyze account guideline restrictions and work closely with strategy desks on developing proxy trades for constrained accounts.
  4. Investment Research: Conduct research on fixed income asset allocation and portfolio construction. Analyze relative value across fixed income spread sector opportunities.
  5. Monitoring and Risk Management: Monitor portfolio positions and risk analytics relative to benchmarks and active targets. Highlight deviations and work with trading desks to rebalance portfolios.
  6. Performance and Positioning Surveillance: Investigate performance attribution outliers and positioning discrepancies. Ensure portfolios of the same strategy are similarly positioned and provide proxy trades for restricted accounts.
  7. Cross-Team Communication: Effectively communicate current portfolio positioning, performance attribution, market trends, and investment themes to relevant audiences. Participate in strategy sessions with the multi-sector team, macro strategists, and credit specialists.
  8. Business Development: Contribute to new business development through the creation of model portfolios and other investment materials.
  9. Competitor Analysis: Research key managers across multi-sector strategies, analyze investment biases, and deliver insights on peer positioning.
  10. Process Improvement & Automation: Partner with technology teams to identify opportunities for process automation and operational efficiency improvements.

Qualifications

  • Bachelor\’s or Master\’s degree in Finance, Economics, Business, or Commerce. CFA is a plus.
  • Knowledge of and passion for asset management and capital markets.
  • Highly organized with exceptional attention to detail and follow-through.
  • Strong analytical and risk management skills.
  • Proficient in multi-tasking, problem-solving, and meeting deadlines.
  • Excellent written and oral communication skills.
  • Strong interpersonal skills: ability to build trust, foster relationships, and collaborate effectively.

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Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London employer: Goldman Sachs Bank AG

Goldman Sachs Asset & Wealth Management is an exceptional employer, offering a vibrant work culture that fosters collaboration and innovation in the heart of London. Employees benefit from extensive professional development opportunities, competitive compensation, and the chance to engage with a diverse range of clients and investment strategies, all while being part of a prestigious firm that manages over $3 trillion in assets. Join us to not only advance your career but also to make a meaningful impact in the world of finance.
Goldman Sachs Bank AG

Contact Detail:

Goldman Sachs Bank AG Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London

✨Tip Number 1

Familiarise yourself with the latest trends in fixed income markets. Read up on recent developments, key players, and emerging strategies to demonstrate your knowledge during interviews.

✨Tip Number 2

Network with professionals in the asset management industry, especially those working in fixed income. Attend relevant events or webinars to make connections and gain insights that could give you an edge.

✨Tip Number 3

Prepare to discuss specific portfolio management techniques and tools. Being able to articulate your understanding of portfolio construction and risk management will show your readiness for the role.

✨Tip Number 4

Demonstrate your analytical skills by preparing case studies or examples of past experiences where you've successfully managed or analysed portfolios. This will help you stand out as a candidate who can contribute immediately.

We think you need these skills to ace Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London

Understanding of Fixed Income Markets
Portfolio Analysis
Risk Management Skills
Performance Attribution Analysis
Investment Research
Analytical Skills
Attention to Detail
Communication Skills
Interpersonal Skills
Multi-tasking
Problem-Solving Skills
Knowledge of Asset Management
Collaboration Skills
Process Improvement
Automation Knowledge

Some tips for your application 🫡

Understand the Role: Before applying, make sure you fully understand the responsibilities and qualifications required for the Fixed Income Multi Sector Portfolio Associate position. Tailor your application to highlight relevant experiences and skills that align with the job description.

Craft a Strong CV: Your CV should clearly showcase your educational background, relevant work experience, and any certifications like CFA. Emphasise your analytical skills, attention to detail, and any specific experience in asset management or fixed income markets.

Write a Compelling Cover Letter: In your cover letter, express your passion for asset management and your understanding of fixed income markets. Use specific examples from your past experiences to demonstrate how you can contribute to the team and the company’s goals.

Proofread Your Application: Before submitting, carefully proofread your CV and cover letter for any grammatical errors or typos. A polished application reflects your attention to detail and professionalism, which are crucial in the finance industry.

How to prepare for a job interview at Goldman Sachs Bank AG

✨Understand Fixed Income Markets

Make sure to brush up on your knowledge of fixed income markets before the interview. Be prepared to discuss current trends, key players, and how various factors influence market movements. This will show your passion for the role and your commitment to staying informed.

✨Demonstrate Analytical Skills

Prepare to showcase your analytical abilities by discussing past experiences where you successfully analysed data or made investment decisions. Use specific examples that highlight your problem-solving skills and attention to detail, as these are crucial for the role.

✨Communicate Effectively

Since the role involves cross-team communication, practice articulating complex ideas clearly and concisely. You might be asked to explain your thought process on portfolio management or investment strategies, so being able to communicate effectively is key.

✨Showcase Team Collaboration

Be ready to discuss your experience working in team-oriented environments. Highlight instances where you collaborated with others to achieve a common goal, as this role requires strong interpersonal skills and the ability to build trust within a team.

Goldman Sachs Asset & Wealth Management - Fixed Income Multi Sector Portfolio Associate - London
Goldman Sachs Bank AG
Location: London
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