Turn this role into an interview — a resume and cover letter built around what this employer wants.
Goldman Sachs Bank AG is looking for a Portfolio Analyst to join their Multi-Asset Solutions team in Hyderabad. This role involves portfolio analytics, performance measurement, and collaboration with various stakeholders to ensure data integrity. The ideal candidate will need a Master's Degree, proficiency in analytical tools, and relevant financial services experience.
The position offers a dynamic work environment focusing on client relationship management and analytics development with a commitment to building sustainable success.
Goldman Sachs is a global investment banking, securities, and investment management firm. We provide a wide range of services to a substantial and diversified client base that includes corporations, institutional investors, governments, nonprofit organizations, and high net worth individuals. Our headquarters is in New York, and we maintain significant offices in London, Bengaluru, Mumbai, Tokyo, Hong Kong, and other financial centers around the world.
Asset Management Division
Goldman Sachs Asset Management is one of the world’s leading investment managers with over $2 trillion in assets under supervision across institutional and retail investment strategies and advisory solutions spanning both public and private markets. A career with us is an opportunity to help clients across the globe realize their potential, while you discover your own as we cover nearly every asset class, industry, and geography. Working in a culture that values integrity and transparency, you will be part of a diverse team that is passionate about our craft, our clients, and building sustainable success. Bringing together traditional and alternative investments, Goldman Sachs Asset Management provides clients around the world with a dedicated partnership and focus on long-term performance.
Multi-Asset Solutions is the multi-asset investing group within the Asset & Wealth Management Division at Goldman Sachs. MAS is responsible for developing investment strategies and comprehensive investment solutions tailored to meet the investment objectives and constraints of our clients. These solutions bring together state‑of‑the‑art techniques in multi-asset portfolio design and implementation and reflect proprietary research and analytics conducted by the MAS team. We offer investment solutions both in commingled fund format and in discretionary mandates for asset owners across the globe, including some of the world’s largest and most sophisticated institutional investors. MAS is a global team comprised of professionals with deep and varied investment backgrounds. The team applies rigorous techniques to strategic and dynamic asset allocation, asset‑liability analysis, portfolio design and implementation, risk management, and portfolio reporting and analytics.
The MAS Portfolio Analytics team oversees client portfolio performance, attribution and liability analytics, which are utilised in Investment Committee meetings and external client materials. The MAS team partners with distribution channels to help win and retain institutional and individual clients through marketing content, external branding, strategy updates, and performance reporting. The team has a strong focus on developing analytics to provide a comprehensive content suite that strengthens and supports these branding and client relationship efforts. Specifically, the role focuses on analysis of client performance and risk, producing client reports, onboarding new clients into MAS portfolios, and strategic projects.