Talentmate
India
9th May 2026
2605-3824-570
Job Description
The Goldman Sachs Group, Inc. is a leading global financial services firm providing investment banking, Global Markets and investment management services to a substantial and diversified client base that includes corporations, financial institutions, governments and high-net-worth individuals. The firm is headquartered in New York and maintains offices in London, Frankfurt, Tokyo, Bangalore, Hong Kong and other major financial centers around the world.
FICC & EQUITIES
We make markets in and clear client transactions on major stock, options and futures exchanges worldwide. Through our global sales force, we maintain relationships with our clients, receiving orders and distributing investment research, trading ideas, market information and analysis.
The Prime Services Group within the GBM segment provides a broad range of specialized services to hedge funds, market makers, agency brokers, proprietary trading groups and institutional clients. These broadly cover margin financing, securities lending, custody & settlement, risk management, execution and clearing services (cash and derivatives), capital introduction, consulting services, corporate action management, and accounting and portfolio analytics.
The PB Risk & Underwriting team is responsible for end-of-day and intraday risk management of client portfolios. The Risk team maintains proprietary stress methodologies that govern the margin posted by clients or helps to set risk appetite at overall Beneficiary level. The risk team also runs several risk control processes for timely identification and escalation of client portfolios flagging for specific risks and prepares regular updates for senior management. For centrally cleared products (listed and OTC), the Risk team also reviews exchange margin methodologies on a regular basis and regularly engages with Exchanges, regulatory bodies and industry associations in advocacy efforts to ensure exchange models are robust.
The successful candidate will join a team with global responsibilities - located in Bangalore office - that will work closely with New York, London and Hong Kong counterparts on the day-to-day control, analysis and risk management of global clients, as well as the evaluation of new client prospects. An important element of the role will also be the provision of analytical support required for the purposes of the development of new risk methodologies and bespoke client offerings, or the re-evaluation of existing ones.
With time, the successful candidate will acquire expertise and know-how of market and credit risk management theory and best practices, technical knowledge across all asset classes, and other areas related to the Prime Services business areas.
Responsibilities
| Role Level: | Associate | Work Type: | Full-Time |
|---|---|---|---|
| Country: | India | City: | Bengaluru ,Karnataka |
| Company Website: | http://www.goldmansachs.com | Job Function: | Others |
| Company Industry/ Sector: |
Financial Services | ||
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