goldmansachs recruitment on ANALYST
in bangalore 2016 for freshers and experienced graduates . Require qualification is MBA . Interested candidates
apply-online
Basic Qualifications :
1.1.5 to 3 years of experience in
investment analysis or financial research in job that incorporates the skills
and experience enumerated above
2.Quantitative analysis and
skillset
3.Risk management and control
orientation
4.Excellent project management
skills
5.Excellent writing and
communication skills
6.Strong interest in the financial
markets and a good investment awareness
7.Ability to communicate investment
strategies and rationales to audiences of varying levels of sophistication
8.Proficient in Excel and
PowerPoint; Bloomberg or financial data systems knowledge preferred
Educational Qualification : MBA ,
CFA
Experience : Freshers and
Experienced
Location : bangalore
Preferred Qualifications :
1.Detail oriented and organized
with the ability to manage multiple tasks in a fast-paced environment
2.A self-starter able to work
independently and thrive in a team environment
3.Intelligent, creative, with good
problem-solving abilities
4.MBA preferred
5.CFA preferred (including current
participation in program)
Responsibilities:
1.Driving consistent and scalable
execution of investment views, managing the portfolio in line with client
guidelines, internal investment policies and philosophies
2.Reviewing portfolio design and
investment strategies for client portfolio suitability, with specific focus on
our ability to effectively manage and implement such portfolios and strategies
3.Executing portfolio
implementation in line with targeted portfolio objectives. Areas of involvement
include: monitoring of asset allocation and implementation issues, executing
portfolio rebalancing trades across various investment vehicles and product
desks, exposure and currency management, investment manager/vehicle oversight,
and risk/performance management
4.Analyzing portfolio and product
risk and return characteristics with a focus on assessing continued
effectiveness of portfolio construction to best meet client objectives
5.Serving as business lead for
complex portfolio implementation events, including onboarding of new client
mandates and portfolio restructurings, requiring coordination across multiple
internal teams throughout the firm, and external counterparties
6.Designing cross-platform risk
analytics that will enhance investment and risk management processes for the
business
7.Assisting in developing policies
for portfolio construction and rules for implementation for both macro and
micro-level investment issues
8.Working closely with other
sub-teams to execute strategic and tactical investment views, and streamline
the portfolio management, portfolio implementation, and portfolio monitoring
process