Credit Risk Associate – Private Equity Funds (Dallas)

Goldman Sachs Bank AG

Texas

On-site

USD 130,000 - 180,000

Full time

5 days ago
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Job summary

Goldman Sachs in Dallas seeks an Associate in Risk, Credit Risk (Global Banking & Markets – Private Equity Funds) to evaluate fund credit quality and monitor portfolio risk. You will work with senior stakeholders across private equity fund lending and related credit analyses.

The role emphasizes strong analytical skills, teamwork under pressure, and clear communication with traders, clients, and risk partners, supporting the firm’s risk framework in a fast-paced banking environment.

Qualifications

  • 3–5 years of experience in finance, markets, or risk.
  • Significant knowledge of capital markets, including fund lending.
  • Demonstrable track record of independent decision making.
  • Strong attention to detail and analytical abilities.
  • Effective communication and teamwork across teams.
  • Client-focused and able to manage expectations.

Responsibilities

  • Evaluate credit risk aspects of fund performance and the credit strength of counterparties using quantitative and qualitative factors.
  • Provide insights and analysis to senior credit risk management on loans and portfolio risk.
  • Assess transactions across Derivatives & Funding; leverage models and stress tests for margin opinions.
  • Review and approve risk taking in lending products at underwriting and throughout loan life.
  • Drive risk conversations with trading and sales teams (OTC derivatives, repo, etc).

Skills

Credit risk
Financial analysis
Cap markets knowledge
Communication skills
Team collaboration

Job description

Goldman Sachs in Dallas seeks an Associate in Risk, Credit Risk (Global Banking & Markets – Private Equity Funds) to evaluate fund credit quality and monitor portfolio risk. You will work with senior stakeholders across private equity fund lending and related credit analyses.

The role emphasizes strong analytical skills, teamwork under pressure, and clear communication with traders, clients, and risk partners, supporting the firm’s risk framework in a fast-paced banking environment.

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