Overview
As a member of Goldman Sachs’ Alternatives Platform Management within Asset Management, you will help optimize investor performance through daily liquidity decisions and strategic capital activity. You’ll collaborate with investment teams, capital markets, engineering, and investor relations to support fund structures and allocations. The role offers exposure to private markets, fund launches, and regulatory reporting while driving performance insights and tech-enabled processes. This is a growth-focused, cross-functional role in a mission-driven firm shaping long-term outcomes for global clients.
Responsibilities
- Perform daily liquidity management and forecasting to meet funding needs
- Develop liquidity recommendations and coordinate capital activity and facility actions
- Conduct attribution analysis to explain portfolio returns and inform risk management
- Monitor investment guidelines, concentration limits, and pacing across funds and accounts
- Support fundraising, fund structure creation, and cross-functional collaboration
- Track and report detailed performance metrics and facilitate allocations, deals, and closures
- Coordinate capital calls, distributions, and regulatory reporting on fund performance
- Assist senior management with data, reporting, and ad hoc analyses
- Support technology initiatives related to Platform Management responsibilities
- Drive fund/investment rebalancing for new fund launch closes
- Address compliance, regulatory inquiries, and support internal/external stakeholder needs
- Create management presentations for ad hoc requests
- Maintain cross-team alignment on fund management and deal structuring activities
- Carry out shared responsibilities across platform management and deal structuring teams
- Respond to ad hoc requests and maintain accurate data management
Key requirements
- 1-4 years of experience in a financial services setting
- Strong analytical orientation
- Excellent communication and interpersonal skills with cross-team collaboration
- Financial acumen to prepare cash flows and performance metrics
- Self-starter with ability to work in a fast-paced, high-pressure environment
- Strong judgment and problem-solving skills
- Ability to work independently in a small team and take initiative
- Collaborative team player
- Strong Excel and PowerPoint skills
- communication
- interpersonal skills
- problem-solving
- initiative
- Excel
- PowerPoint
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