Job Description
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
EQUITIESWe 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 Work with regional risk managers on the daily margin call analysis
risk processes and communication
including ad
hoc focus risk reporting
Contribute to product development and improving the scalability of bespoke offerings Portfolio risk analyses and deep dives based on internally designed risk metrics
Conduct ongoing monitoring of trades
portfolios and control processes for timely identification and escalation post
execution Work closely with members of the team across risk functions including 2nd LOD Risk for eg
Credit and Model Risk in performing risk management of exposures to counterparties in the Prime Services business Testing adequacy of in
house as well as regulatory
exchange margin methodologies in the context of financial markets
Requirements 3
years of relevant work experience in Prime Brokerage
capital markets
market risk
credit risk
underwriting
corporate finance or consulting Strong technical and quantitative capabilities required
Excellent analytical skills and attention to detail
Understanding of financial products
Equities
Credit
Convertible Bonds
Commodities
FX
Futures and Options
Highly motivated
entrepreneurial
and team oriented
Passion for solving large scale problems Excellent communication skills
written as well as verbal be able to articulate and present to senior management
Ability to multi
task across various projects under tight deadlines and perform each at a high level Experience
interest in software
programming will be valuable
About Goldman SachsAt Goldman Sachs
we commit our people
capital and ideas to help our clients
shareholders and the communities we serve to grow
Founded in 1869
we are a leading global investment banking
securities and investment management firm
Headquartered in New York
we maintain offices around the world
We believe who you are makes you better at what you do
Were committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally
from our training and development opportunities and firmwide networks to benefits
wellness and personal finance offerings and mindfulness programs
Learn more about our culture
benefits
and people at GS
com
careers
Were committed to finding reasonable accommodations for candidates with special needs or disabilities during our recruiting process
Learn more
https
www
goldmansachs
com
careers
footer
disability
statement
html The Goldman Sachs Group
Inc
2026
All rights reserved
Goldman Sachs is an equal employment
affirmative action employer
💡 Quick Summary
Seeking a career-building opportunity? The Global Banking Markets Prime Services PB Risk Underwriting Associate position is now open for candidates interested in the Bank Jobs sector. This role in Bangalore offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Bank Jobs is a plus.
