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Global Research Publishing, Supervisory Analyst, VP

San Francisco, CA, USA | Goldman Sachs

  • Industry:
    Financial Services
  • Position Type:
  • Functions:
    General Management
  • Experience:
    5-7 years
Job Description:
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RESPONSIBILITIES AND QUALIFICATIONS


Job Summary & Responsibilities


Global Investment Research forms a vital link between the Firm's business divisions by providing analyses that significantly impact markets, companies, industries, economies and currencies worldwide in three main areas: economics, portfolio strategy and securities analysis. In partnership with the analyst teams and other parts of the Content Management Group, the Supervisory Analyst helps to provide accurate and compliant commercial product for use by buy-side firms to structure portfolios and the Goldman Sachs sales force in its interaction with investing clients.  


Working closely with the head of Content Management and other members of the Research Publishing team, the goal of the SA is to:


Manage the SA review and production process of reports and other research product (e.g., podcasts, videos) from point of submission to point of distribution

Engage with lead research analysts and their teams to improve the quality of published research

Work on ad hoc projects such as systems development and reviewing and updating SA guidelines based on Legal/Compliance policies and research management objectives

Train and develop Global Investment Research team members on overall editorial/compliance procedures, templates, GS writing style and subject frameworks


Basic Qualifications


Bachelor’s degree required

5+ years’ experience as a Supervisory Analyst (SA/editing skills must be demonstrated through a standard test)

NYSE Series 16 qualification

Knowledge of standard accounting terms and calculations

Prior experience and proficiency working in a Windows-based PC environment, knowledge of Microsoft Word, Excel and Outlook is necessary

Familiarity with all disciplines of Research, including Equity, Credit, and Macro (Economics, Strategy, others), ideal

Flexibility on primary region of support (Americas, Europe, or Asia)


Preferred Qualifications


High motivation – we are looking for a self-starter with an entrepreneurial spirit, a positive approach, and a genuine interest in business and the financial markets

Flexibility – our business and what it requires of us are constantly evolving; we seek individuals keen to adapt and thrive in an environment of change

Ability to see the big picture – to look at the structure, arguments and balance of a report and suggest practical ideas for enhancing its commercial effectiveness

Proven time management and organizational skills; ability to prioritize and juggle several projects at the same time and to work under tight deadline pressure

Ability to multi-task and work with teams as well as independently

Excellent interpersonal skills; must manage relationships with large group of internal clients, including direct managers, analyst teams, global editorial counterparts, compliance officers and representatives from other departments


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