Goldman Sachs Asset Management is seeking a Global Risk Management professional to monitor and govern risk across the fund complex. You will engage with portfolio managers, embedded risk teams and governance bodies to ensure robust risk metrics and reporting.
The role focuses on market risk, VaR, stress testing and risk attribution for Fixed Income portfolios, with a strong emphasis on controls, accuracy and clear communication to Boards and regulators.
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Fixed Income Risk Analyst β Asset & Wealth Mgmt employer: Goldman Sachs
Goldman Sachs is an exceptional employer, offering a dynamic work environment where innovation and collaboration thrive. With a strong commitment to employee growth, the firm provides extensive training and development opportunities, alongside a diverse and inclusive culture that values every individual's contributions. Located in a global financial hub, employees benefit from engaging with top-tier professionals while managing a portfolio of EMEA Corporate clients, ensuring meaningful and impactful work in the field of credit risk analysis.