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[Goldman Sachs]Finance, Corporate Treasury, Analyst /Associate (Seoul)

2015.08.25 Views 2600 CDC

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  • 수시채용

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모집부문

  • Analyst /Associate

세부사항

Job Summary & Responsibilities
The Finance Division is looking to hire an Analyst / Associate to join the securities branch in Seoul, Korea as part of the Risk Management Group. We encourage applicants with skills across Market Risk, Credit Risk and Liquidity Risk management to apply for this position. Whilst the position will be physically based in Seoul, a part of the remit will involve responsibilities within the relevant regional team. 

Principal Responsibilities 
• Monitoring and projecting various market, credit and liquidity risks and producing periodic risk reports 
• Evaluating the impact of various transactions and new products; advising senior management and businesses on financial risks and other implications 
• Participating in strategic projects in Korea as well as in the Asia region 
• Maintaining an active dialogue with banks and investors in Korea to source funding for various businesses 
• Performing risk assessment and other regulatory reporting required by local regulators 
• Gathering market insight and information on  regulatory changes and  keeping risk management practices, policies and procedures up-to-date 
• Developing and implementing new risk management policies and procedures as required 
• Being a key member of the Risk Management Committee, including agenda setting and conducting meetings 

The Opportunity 
• Gain exposure to the firm’s business activities and develop a broad understanding of the financial services industry and relevant regulations 
• Participate in the risk management of the Korean securities branch and gain the local as well as regional knowledge and expertise 
• Develop  analytical and presentation skills 
• Work on cross-divisional projects and develop relationships across many areas of Goldman Sachs   

Basic Qualifications   
• Minimum 5 years’ experience in relevant Risk Management fields (Liquidity Risk [ Treasury], Market Risk, Credit Risk), or minimum 3 year’s experience in Risk Management if you have one of: Masters Degree in Derivatives, Financial Risk Manager (FRM) Certificate (or equivalent), Masters in Business Administration. 
• Adequate knowledge of core Risk Management 
• Ability to work independently and achieve timely results – self starter with good commercial perspective 
•Strong financial analytical skill 
• Excellent communication, inter-personal and teamwork skills 
• Ability to interact and build relationships with both internal and external stakeholders 
• Ability to work on multiple tasks with high attention to detail 
• English and Korean language fluency required (spoken and written) 

지원방법

  • http://www.goldmansachs.com/a/data/jobs/32044.html?&bid=9993572

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