Risk Engineering

5 months ago


Dallas, United States Goldman Sachs Full time

Background  

Analytics & Reporting (A&R) is a group within Risk Engineering in the Risk Division of Goldman Sachs. The group ensures the firm’s senior leadership, investors and regulators have a complete view of the positional, market, and client activity drivers of the firm’s risk profile allowing them to take actionable and timely risk management decisions. 

Risk Engineering is a multidisciplinary group of quantitative experts who are the authoritative producers of independent risk & capital metrics for the firm. Risk Engineering is responsible for modeling, producing, reviewing, interpreting, explaining and communicating risk & capital metrics and analytics used to ensure the firm adheres to its Risk Appetite and maintains the appropriate amount of Risk Capital. Risk Engineering provides risk & capital metrics, analytics and insights to the Chief Risk Officer, senior management, regulators, and other firm stakeholders. 

Role Responsibilities  

A&R delivers critical regulatory and risk metrics & analytics across risk domains (market, credit, liquidity, operational, capital) and firm activities via regular reporting, customized risk analysis, systematically generated risk reporting and risk tools​. 

A&R has a unique vantage point in the firm’s risk data flows that, when coupled with a deep understanding of client and market activities, allows it to build scalable workflows, processes and procedures to deliver actionable risk insights​. The following are core responsibilities for A&R: 

Delivering regular and reliable risk metrics, analytics & insights based on deep understanding of the firm’s businesses and its client activities. 

Building robust, systematic & efficient workflows, processes and procedures around the production of risk analytics​ for financial & non-financial risk, risk capital and regulatory reporting. 

Attesting to the quality, timeliness and completeness of the underlying data used to produce these analytics​. 

Qualifications, Skills & Aptitude   

Eligible candidates are preferred to have the following: 

Masters or Bachelors degree in a quantitative discipline such as data science, mathematics, physics, econometrics, computer science or engineering. 

Entrepreneurial, analytically creative, self-motivated and team-oriented. 

Excellent written, verbal and team-oriented communication skills. 

[Associate] Experience with programming for extract transform load (ETL) operations and data analysis (including performance optimization) using languages such as, but not limited to, Python, Java, C++, SQL and R. 

[Analyst] Experience with programming in Python and SQL for extract transform load (ETL) operations and data analysis (including performance optimization). Experience in using languages such as R, Java, C++ is beneficial. 

Experience in developing data visualization and business intelligence solutions using tools such as, but not limited to, Tableau, Alteryx, PowerBI, and front-end technologies and languages. 

Working knowledge of the financial industry, markets and products and associated non-financial risk. 

Working knowledge of mathematics including statistics, time series analysis and numerical algorithms. 

[Associate] 3+ years of financial or non-financial risk industry experience. 

[Analyst]  1-3 years of experience, preferably in financial, regulatory or consulting environment 



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