We use cookies. Find out more about it here. By continuing to browse this site you are agreeing to our use of cookies.
#alert
Back to search results
New

Asset & Wealth Management, Public, Investing & Portfolio Management - Public, Vice President - New York

The Goldman Sachs Group
$350BN across over 90,000 customized equity portfolios, Exchange Funds, Mutual Funds and ETFs
United States, New York, New York
200 West Street (Show on map)
Jan 28, 2025

Job Summary & Responsibilities
Goldman Sachs Asset Management's Quantitative Equity Solutions team is a fast growing group which oversees more than $350BN across over 90,000 customized equity portfolios, Exchange Funds, Mutual Funds and ETFs. The Quantitative Equity Solutions group delivers investment solutions to High Net Worth, Institutional and Retail clients in order to address investor needs and goals including: tax management, risk management, value alignment, yield enhancement, customization, etc.

As a focal point for one of the division's key priority initiatives, the team operates in an entrepreneurial environment but with the resources of a large organization. A core focus for the team is managing cutting-edge investment strategies and innovating new investment capabilities that can transform the asset management industry. We design and employ highly-scalable portfolio management systems to create equity-based strategies to meet client investors needs. Current investment solutions range from tax managed offerings, single stock diversification, income based strategies, factor based investing, values alignment and environmentally oriented portfolios - with more strategies under development.

The Portfolio Management team is responsible for the investment strategies implemented within Quantitative Equity Solutions' customized equity portfolios and Mutual Funds. Responsibilities include investment strategy development, portfolio construction and performance monitoring. Portfolio managers works closely with client portfolios managers, engineers, operations, controllers, compliance, and product managers. Responsibilities also include collaborating on new investment strategies and digital tools we are developing. Our team is energized by leveraging technology to create scale and customization across our entire business and deliver an excellent client experience with industry leading investment solutions and performance. Our team operates in a fast-paced environment that welcomes individuals who have a background and demonstrated interest in portfolio management, investment research and client collaboration. The Vice President (Research) role within the Portfolio Management team will specifically focus on driving investment research projects.



  • Responsibilities:

    • Drive investment research projects, including identifying enhancements to existing strategies and developing new capabilities that improve after-tax returns and reduce risk for investors
    • Collaborate with client portfolio managers to incorporate investor needs in investment strategy design, joining meetings with financial advisors and end clients as appropriate
    • Leverage different programming languages and statistical techniques in research projects while designing new investment strategies or enhancing existing investing strategies
    • Work with engineering teams to refine and integrate research ideas into production portfolio management systems, including detailed technical design specifications and testing
    • Multi-task across multiple research projects and portfolio management needs
    • Serve as a leader and guide for more junior members of the team to further develop research pipeline
    • As appropriate, author research papers to illustrate our thought leadership

  • Qualifications:

    • Professional experience includes investment management, preferably with quantitative techniques and optimization background
    • Demonstrated related research (white papers, journal articles, etc.)
    • Undergraduate and/or graduate degree in mathematics, computer science, financial engineering, or other STEM-related background
    • Computer programming experience (e.g., Matlab, Python, R, Java, C / C++)
    • Previous professional experience with options strategies preferred
    • Creative, diverse problem-solving skills, solid economic intuition, good commercial instinct and interest in financial markets
    • Exceptional attention to detail, careful/thorough, well organized, effective time management
    • Thrive in a team-oriented and collaborative environment and brings a great attitude to work
    • Excellent communication skills (especially written communication)


Applied = 0

(web-6f6965f9bf-j5kl7)