Risk & Controls Analytics Associate

Goldman Sachs

Dallas (TX)

On-site

USD 100,000 - 160,000

Full time

9 days ago
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Job summary

Goldman Sachs in Dallas seeks a risk management professional to support GBM Private non-financial risk initiatives and strengthen the risk framework across the organization. You will analyze risks, monitor controls, and collaborate with front office, operations, and engineering to drive improvements in governance and automation through AI-enabled analytics.

Ideal candidates have 1–3 years in risk management or related control roles and a 4-year finance/quantitative degree; graduate degree is a

Qualifications

  • Experience in non-financial risk disciplines such as operational risk, enterprise risk, compliance or audit.
  • Strong analytical mindset with curiosity about risk origins and controls.
  • Excellent written and verbal communication across stakeholders at all levels.
  • Ability to multi-task and work in a fast-paced environment.

Responsibilities

  • Monitor and report key risk metrics and KPIs; identify automation opportunities.
  • Prepare risk management conclusions and present to senior management.
  • Assess residual risks after incidents and coordinate with business units to close gaps.
  • Suggest improvements to risk framework and pursue cross-divisional collaboration.
  • Explore automation and AI to streamline risk processes and data quality.
  • Partner with risk managers across locations to share best practices.

Skills

Risk analytics
Automation
AI/ML
Analytical skills

Education

Bachelor's degree in finance or quantitative field
Graduate degree preferred

Tools

Python
VBA
Tableau

Job description

Goldman Sachs in Dallas seeks a risk management professional to support GBM Private non-financial risk initiatives and strengthen the risk framework across the organization. You will analyze risks, monitor controls, and collaborate with front office, operations, and engineering to drive improvements in governance and automation through AI-enabled analytics.

Ideal candidates have 1–3 years in risk management or related control roles and a 4-year finance/quantitative degree; graduate degree is a

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