Multi Asset Solutions (MAS) is a multi-asset class investing group that sits within the Asset Management Division at Goldman Sachs. It designs and develops comprehensive investment management solutions customized to meet client objectives and constraints. These solutions utilize proprietary research and multi-asset analytics. With investment professionals across the globe, MAS invests or advises on assets for some of the world’s leading corporations, sovereign wealth funds, pension plans, governments, financial institutions, endowments, foundations, and family offices.
Responsibilities:
The successful candidate would become a member of the Lead Portfolio Management Team within MAS working with pensions and insurers.
The role is highly analytical, focusing on developing and implementing bespoke strategic asset allocations as well as reviewing and communicating results to clients.
Core responsibilities include:
Strategic asset allocation analysis
Portfolio construction optimization
Custom liability-hedging portfolio and asset liability matching analysis
Investment manager / vehicle review
Investment Committee reviews
Ad hoc client investment requests
Other required skills/experience:
Bachelor’s degree or equivalent
At least 1 year of portfolio management or related experience a plus
Experience working with pensions or insurers a plus
Experience with multi-asset portfolio construction a plus
Experience constructing liability-hedging portfolios a plus
Utilize Excel to produce bespoke portfolio analytics
Experience working with multiple clients simultaneously
Experience presenting to internal and external Investment Committees a plus
Expert in Excel and PowerPoint
ABOUT GOLDMAN SACHS
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