About The Position

Associate, Banker - Industry/Country Coverage with Goldman Sachs & Co. LLC in New York, New York. Conduct detailed financial analysis on individual, public, and/or privately held companies to assess investment opportunities, focusing either on specific client coverage within an industry or geographic area, or within the broader Financing group. Review financial reports, statements, budgets, forecasts and other financial information, systems of internal controls and procedures, auditing, accounting, and financial reporting processes. Design custom reports to assist Firm’s investment committee and/or portfolio companies in making investment decisions by outlining the considerations and risks of a particular investment including historical performance and future expectations. Engage with management at companies to build relationships and coordinate information requests needed for analysis. Assist in ongoing investment or portfolio management duties, including quarterly valuations, assessing needs for future capital, helping with business development, and/or serving on boards and assessing exit opportunities. Research and develop expertise around various trends, themes and business models across financial technology. Produce presentation materials for investment discussions.

Requirements

  • Master’s degree (U.S. or foreign equivalent) in Finance, Economics, Business Administration, or a relevant field and one (1) year of experience in the job offered or a related investment banking position OR Bachelor’s degree (U.S. or foreign equivalent) in Finance, Economics, Business Administration, or a relevant field and three (3) years of experience in the job offered or a related investment banking position.
  • Developing & reviewing financial models including operating models, M&A, DCF or LBO.
  • Producing client reports using market data analyses, leveraging electronic data sources including Bloomberg, FactSet or Capital IQ.
  • Analyzing company data, including strategic operating plans, documentation of live transactions, regulatory filings, annual reports & other public disclosures.
  • Performing credit analysis, including analyzing a company’s financial position, evaluating historical cashflow, assessing the maturity profile of total borrowings and the ability to refinance in the future.
  • Executing debt and equity financing (including IPO) transactions, and public & private M&A (buyside and sell-side) transactions.
  • Liaising with rating agencies and capital market specialists in connection with the structuring, pricing and distribution of structured notes and asset-backed loans.
  • Presenting to senior management and board members on corporate strategy and financing alternatives.
  • Leveraging market data applications and Microsoft Excel to track volumes, workflow, and projects, including utilizing Pivot tables to manage large datasets, and V-lookups to minimize manual processes and efficiently manage risk.

Responsibilities

  • Conduct detailed financial analysis on individual, public, and/or privately held companies to assess investment opportunities.
  • Review financial reports, statements, budgets, forecasts and other financial information, systems of internal controls and procedures, auditing, accounting, and financial reporting processes.
  • Design custom reports to assist Firm’s investment committee and/or portfolio companies in making investment decisions.
  • Engage with management at companies to build relationships and coordinate information requests needed for analysis.
  • Assist in ongoing investment or portfolio management duties, including quarterly valuations, assessing needs for future capital, helping with business development, and/or serving on boards and assessing exit opportunities.
  • Research and develop expertise around various trends, themes and business models across financial technology.
  • Produce presentation materials for investment discussions.
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