Credit Risk Associate - Private Equity Funds

Goldman Sachs Group, Inc.

Dallas (TX)

On-site

USD 120,000 - 180,000

Full time

12 days ago
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Job summary

Goldman Sachs Group, Inc. in Dallas seeks an Associate in Risk, Credit Risk for Global Banking & Markets focusing on Private Equity Funds. The role involves evaluating the credit strength of fund counterparts and performing fundamental credit analysis with both quantitative and qualitative factors.

The candidate will provide insights to senior risk management, assess loans, and review risk across derivatives and funding. A strong track record in finance and risk is required.

Qualifications

  • 3–5 years of experience in a finance, markets, or risk role.
  • Significant knowledge of capital markets, including secured loan products.
  • Demonstrable track record of independent decision making.
  • Strong attention to detail. Excellent analytical and communication skills.
  • Knowledge of portfolio risk management and risk analytics.

Responsibilities

  • Evaluating credit risk aspects of fund financial performance and ratings profile for Private Equity funds.
  • Providing insights and analysis to senior credit risk management on loans and portfolio information.
  • Assess transactions across Derivatives & Funding businesses using quantitative models and stress tests.
  • Reviewing and approving risk taking in lending products at underwriting and portfolio life.
  • Drive risk conversations with trading and sales teams across product lines.

Skills

Credit risk analysis
Financial markets knowledge
Analytical thinking
Attention to detail
Communication skills

Job description

Goldman Sachs Group, Inc. in Dallas seeks an Associate in Risk, Credit Risk for Global Banking & Markets focusing on Private Equity Funds. The role involves evaluating the credit strength of fund counterparts and performing fundamental credit analysis with both quantitative and qualitative factors.

The candidate will provide insights to senior risk management, assess loans, and review risk across derivatives and funding. A strong track record in finance and risk is required.

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