About The Position

The Associate, Platform Management role at Goldman Sachs & Co. LLC in Salt Lake City, Utah involves performing daily liquidity management functions to assess current and future funding requirements. The position requires preparing liquidity recommendations for investor actions and collaborating with stakeholder teams, including the Investment Team, Controllers, and Operations, to approve and execute the calling or distributing of capital. The role also includes creating and implementing liquidity models to achieve best-in-class fund performance and avoid cash drag by optimizing balances. Additionally, the associate will monitor and prepare investment pacing and investable capital analysis for a subset of actively investing funds and separately managed accounts, present recommendations to the deal team, and participate in activities related to portfolio launches, restructuring, and rebalances. The associate will also monitor Asset Backed Loan workflows and optimize cash to enhance fund performance, perform allocation analysis for new deal activity, and present recommendations to the Allocation Working Group (AWG) for approval. The role aims to deliver scale and enhanced fund performance through the execution of self-identified and continuous improvement initiatives, act as a point person in testing new system applications as the platform scales, and progress to oversight for a subset of functions ensuring analyses have been prepared correctly and deliverables are being met on time.

Requirements

  • Bachelor's degree (U.S. or foreign equivalent) in Economics, Finance, or a related analytical field.
  • Three (3) years of experience in the job offered or in a related role.
  • Experience with advanced Excel to manage thousands of data inputs to conduct data-driven analysis.
  • Project Management skillset to create design requirements, track progress, deliver milestones, and navigate a matrixed group of stakeholders.
  • Financial acumen to prepare cash flows and performance metrics that impact investor returns and product performance.
  • Knowledge of Risk Management framework and associated controls to assess risk of financial products.
  • Knowledge of Data Management practices and Technology associated with data organization and visualization.

Responsibilities

  • Perform daily liquidity management function to assess current and future funding requirements.
  • Prepare liquidity recommendations for investor actions.
  • Work with stakeholder teams (Investment Team, Controllers, Operations) to approve and execute the calling or distributing of capital.
  • Create and implement liquidity models to achieve best in class fund performance and avoid cash drag by optimizing balances.
  • Monitor and prepare investment pacing and investable capital analysis for a subset of actively investing funds and separately managed accounts.
  • Present recommendations to the deal team.
  • Participate in activities related to portfolio launches, restructuring, and rebalances.
  • Monitor Asset Backed Loan workflows and optimize cash to enhance fund performance.
  • Perform allocation analysis for new deal activity and present recommendations to the Allocation Working Group (AWG) for approval.
  • Deliver scale and enhanced fund performance through execution of self-identified and continuous improvement initiatives.
  • Act as a point person in testing new system applications as the platform scales.
  • Progress to oversight for a subset of functions ensuring analyses have been prepared correctly and deliverables are being met on time.

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What This Job Offers

Career Level

Mid Level

Industry

Securities, Commodity Contracts, and Other Financial Investments and Related Activities

Education Level

Bachelor's degree

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