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Join our Global
Finance Team
in Warsaw

Join our Global
Finance Team
in Warsaw test

Explore Opportunities

Finance Finance Division


partners with each of the firm’s businesses to understand and manage risk, measure profitability, and create solutions through quantitative analysis, projecting and forecasting.

Corporate Treasury works closely with the CFO, Treasurer and other members of senior management to manage the firm's funding, liquidity, capital and relationships with creditors and regulators. The department plays a key role in firmwide strategic and analytical projects, providing a unique insight into the firm’s business activities and performance.

Credit Risk Management and Advisory (CRMA) works closely with the Chief Risk Officer and senior management to manage Goldman Sachs’ credit risk. Credit professionals protect the firm’s capital by using in-depth knowledge of our clients, markets, and trading products to make decisions on the firm’s risk level appetite. Staffed with more than 400 professionals, CRMA operates through 12 offices around the world. CRMA provides a unique opportunity to develop a variety of professional skills and expertise in risk management while working on advisory mandates as well as financial transactions.

The Model Risk Management (MRM) group is a multidisciplinary group of quantitative experts at Goldman Sachs with presence in the USA, Europe and Asia. The group’s primary mandate is to manage risk that arises from quantitative models used in the firm through its range of businesses – from models used for derivatives valuation to models used for risk management, liquidity and capital computations. In addition to independently reviewing these classes of models for their validity, theoretical consistency and implementation accuracy, the group is also responsible to assess the risk associated with model choice, e.g. exposure to choice of model in various contexts such as pricing exotic options or in calculating capital.

Goldman Sachs Goldman Sachs

is proud of its record as an employer of choice, and continues to strive to create a positive working environment for everyone within the organization.

You will be a part of a growing,
dynamic office located in the
Warsaw Spire building
We value diversity and
welcome your unique
perspectives and ideas
We offer you best-in-class
training programmes
and mentoring at every stage
of your career
Our people are committed
to making a difference in
the communities where we
work and live
Our professionals have the
opportunity to work with some
of the world's most interesting
challenges and influential
leaders
We provide highly
competitive compensation
and benefits offerings as part
of the total reward of working
at the firm
We have a team-driven
culture which leverages
and rewards individual talent
We are looking for

candidates outstanding candidatesto join our Finance Division

Skills:

Strong analytical and quantitative skills

Ability to work on multiple projects with a high attention to detail

Ability to interact with and build relationships with people from different departments and levels of seniority

Strong interest and familiarity with finance, financial markets and economic developments ability

Strong verbal and written communication skills (in English)

Experience in a relevant field is a plus

You will:

  • Produce key risk management metrics to manage day-to-day risks
  • Monitor liquidity risks relating to the firm’s business activities
  • Develop and implement liquidity and stress testing models
  • Optimize the level and composition of the firm’s capital base relative to its risk profile
  • Analyze new business initiatives and products to assess their liquidity risks and funding and capital requirements
  • Create presentations related to liquidity, funding and capital for discussion with Board of Directors, senior management, counterparties/clients, ratings agencies and regulators
  • Analyse the financial strength of the firm’s derivatives counterparties and borrowers (qualitative and quantitative analysis), for the purpose of business execution and ongoing risk monitoring
  • Assign internal credit ratings and establish and monitor credit limits
  • Assess and measure the credit risk of firm’s transactions, determine relevant terms and approve such transactions
  • Report to senior management and interact with regulators and third party constituents on risk management topics and inquiries
  • Develop and manage relationships with other areas of the firm, including Sales & Trading, Investment Banking, Operations, Collateral Management, Legal, Compliance, Technology
  • Use quantitative and analytical skills to analyze complex mathematical models, challenge assumptions and implementations
  • Use market insight to review usage of models and highlight potential weaknesses and limitations
  • Design and implement alternative models to quantify model risk
  • Lead discussion of model analysis results with business and senior management
Choose your

experience level of experience

to find the most suitable position:

Start your career with Goldman Sachs. We offer a range of positions from internships to full-time jobs. All of our positions offer an opportunity to learn first-hand about the firm, our culture and the financial services industry.

New Analyst Programme

  • What: Full time entry-level employment
  • Areas: Corporate Treasury, Credit Risk Management and Advisory, Model Risk Management
  • For whom: Bachelors or Masters students and graduates who are able to work on a full time basis in 2018
  • Winter Semester Deadline: Sunday 19 November 2017
  • Spring Semester Deadline: Sunday 25 March 2018

New Associate Programme

  • What: Full time employment for PhD graduates
  • Areas: Model Risk Management
  • For whom: Doctoral students and graduates who are able to work on a full time basis in 2018

Summer Internship Programme

  • What: 10 week internship designed for students to experience what it is like to work in the Finance Division
  • Areas: Corporate Treasury, Credit Risk Management and Advisory
  • For whom: Students and graduates who are available to work 10 weeks in the Summer of 2018 and who can start full time employment in 2019
  • Winter Semester Deadline: Sunday 19 November 2017
  • Spring Semester Deadline: Sunday 25 March 2018
How to apply

Apply now! Applications are reviewed on a rolling basis.

Develop your career with Goldman Sachs. When recruiting experienced professionals, we look for people with a passion for excellence, a belief in the power of the team, integrity and leadership.

How to

apply apply

Professionals

Visit gs.com/careers and apply under Experienced Professionals - search for roles by region (EMEA) and Division (Finance).


Students & Graduates

Visit gs.com/careers and apply under Students and Graduates

  • For Corporate Treasury and CRMA - specify the position, division (‘Finance’), sub division (‘Risk’ or ‘Treasury’) and location (‘Warsaw’) in your application.
  • For MRM - specify the position (‘New Analyst’ or ‘New Associate’), division (‘Strats/Quant’), sub division (‘Finance’) and location (‘Warsaw’) in your application.

We are hiring into a number of

divisions divisions in Warsaw

Explore the links below for more information.

We look forward to

events meeting you at our events!