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Operations, Asset Management, Fund Services Associate, London, Greater London
Client:
Location:
Greater London, United Kingdom
Job Category:
Other
EU work permit required:
Yes
Job Reference:
f0f0b9782ca2
Job Views:
6
Posted:
03.03.2025
Expiry Date:
17.04.2025
Job Description:
Asset Management
A career with Goldman Sachs Asset Management is an opportunity to help clients across the globe realize their potential, while you discover your own. As part of one of the world’s leading asset managers with over $2.8 trillion in assets under supervision, you can expect to participate in exciting investment opportunities while collaborating with talented colleagues from all asset classes and regions. Working in a culture that values integrity and transparency, you will be part of a diverse team that is passionate about our craft, our clients, and building sustainable success.
Your Impact
Goldman Sachs Asset Management is seeking a professional individual who wants to develop their understanding of a growing sector of financial markets and be at the heart of the Asset Management Business with a key focus on Offshore Funds. In this role, you will be exposed to Mutual Funds, Private Equity and ETFs structures and work closely with professionals across Portfolio Management teams (Fixed Income, Quantitative Investment Strategies, ETF and Fundamental Equity), Product Development, multiple sales channels and various operational groups supporting the Asset Management Business. This role requires a motivated individual to ensure accurate and timely execution of Fund launch and Fund change events on behalf of the firm and our clients. The ability to project manage fund events, stakeholder expectations, prioritize, meet deadlines and communicate to all levels of the organization is critical to this role.
Goldman Sachs Asset Management Operations is part of the Asset & Wealth Management Division and comprises of ~500 professionals based in 5 centres across the globe. It consists of three broad functional areas, Client Operations, Investment Operations, and Management and Shared Services, all of whom work in a dynamic environment where control, client service and excellence in execution are fundamental principles.
The global Fund Services team sits within Management & Shared Services with team members located in London, The Hague, Tokyo, Singapore, China and New York.
The Fund Services team is primarily responsible for:
* Facilitating new business and product expansion via project management of new fund launches.
* Ongoing platform maintenance via co-ordination of fund mergers, fund terminations, restructures, other fund change events and regulatory uplifts.
* Acquisition integration through fund onboarding, consolidation and restructuring.
The team interacts very closely with the Funds’ external service providers (including Custodian and Fund Administrators), as well as with all internal teams connected with design, setup, operation, and oversight of the Funds. The role will be varied and will allow the candidate to interact with a wide range of internal and external teams and be involved in a diverse range of tasks and projects.
How You Will Fulfil Your Potential
* You will effectively contribute towards the Asset & Wealth Management division product expansion initiatives by project managing fund launch and other fund change events for Luxembourg, Ireland and Cayman domiciled funds.
* You will work closely and develop strong working relationships with the Portfolio Management, Product Development, Operations, external vendors and various Federation teams to agree product design expectations, fund features and establishing support models.
* You will develop a strong understanding of our Asset Management Business, and the investment products on offer.
* Your responsibilities for project managing and executing fund change events such as fund launches, terminations and other fund restructure events will include, for example:
o Setting expectations for launch timelines and bringing together all internal and external working group stakeholders.
o Managing the fund event workflow utilising in-house workflow tools.
o Engaging in discussions to tackle ad hoc challenges in order to effectively meet design, portfolio manager and client needs.
o Facilitating internal systems and external system setups.
o Drafting and agreeing investment trade flows making sure all Operational systems are ready for trading.
o Obtaining internal and external fund and share class identifiers.
o Ensuring EMEA fund registration requirements, including KIIDs, are in place prior to fund launch.
Preferred Qualifications and Experience
* Bachelor’s degree or equivalent, with relevant industry experience.
* 2-4 years of relevant experience in Asset Management and exposure to facilitating Offshore Fund Events.
* Strong Knowledge of Offshore Funds administration and Compliance standards.
* Must work well in a team but also exhibit strong leadership capabilities in order to help drive solutions to complex issues.
* Ability to make informed autonomous decisions whilst delivering multiple projects to tight deadlines.
* Attention to detail with the ability to see the bigger picture and manage competing priorities.
* Ability to develop strong relationships with key stakeholders and delegates across the organization.
* Strong organizational, business writing, communication and time management skills.
* Desire to continually learn and ability to manage multiple priorities.
* ETF experience favoured though not required.
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