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Goldman sachs asset management alternatives - asset finance - vice president - london

London
Goldman Sachs
Asset manager
Posted: 13h ago
Offer description

Goldman Sachs Asset Management Alternatives - Asset Finance - Vice President - London


Job Description

Goldman Sachs Asset Management is one of the world’s leading asset managers with over $3 trillion in assets under supervision. As the primary investment area within Goldman Sachs, we provide investment and advisory services for insurance companies, pension plans, sovereign wealth funds, endowments, foundations, financial advisors, and individuals.

A career with Goldman Sachs Asset & Wealth Management (GSAM) is an opportunity to work with clients across the globe. As part of one of the world’s leading asset managers you can expect to participate in exciting investment opportunities while collaborating with talented colleagues from all asset classes and regions. Working in a culture that values integrity and transparency, you will be part of a diverse team that is passionate about excellence in our work, our clients, and building sustainable success.


Asset Finance Overview

Asset Finance is a growth area within GSAM Alternatives Private Credit platform. It specializes in asset‑backed credit facilities, secured on physical and/or financial collateral. The investment mandate includes consumer loans, diversified real estate (residential & CRE), commercial credit (SME, equipment leases, trade receivables), fund finance, and digital infrastructure (data centers, GPU financing, fiber, etc.). The team invests across the capital structure for third‑party managed client capital/funds.

This is an opportunity to play an important role in the growth of our global asset finance platform and to get exposure to a global team and its full spectrum of investment activities.


Responsibilities

Origination, Execution: Source and evaluate asset‑backed finance opportunities across sectors; lead end‑to‑end transaction execution and deal teams across underwriting, structuring, diligence, internal IC process, and closing.

* Structuring Expertise: Design scalable financing solutions such as private securitisations and forward‑flow agreements; negotiate economics, covenants, and structural protections.
* Risk Assessment: Conduct detailed collateral analysis and stress testing; build and review cash‑flow and structural models to assess expected performance and downside protection.
* Asset Management: Prepare/oversee investment committee materials, portfolio reviews, and performance reports for senior leadership, ensuring alignment with risk/return objectives and capital efficiency.
* Leadership & Collaboration: Mentor junior team members and collaborate with cross‑functional teams including legal, compliance, tax, and risk, as well as capital formation teams to drive platform objectives.


Experience & Qualifications Required

* Principal investing candidate with 6 to 8 years of experience in asset‑backed finance, structured credit or specialty finance.
* Prior investing experience at a leading alternative asset manager, private credit platform, or specialty finance lender.
* Demonstrated execution experience across private asset‑backed transactions/ private securitisations.
* Deep familiarity with ABF asset classes such as consumer loans, auto finance, credit cards, receivables, equipment leasing, diversified residential loans/CRE or other specialty collateral, and/or fund finance.
* Strong understanding of bankruptcy‑remote structures, cash‑flow waterfalls, and legal documentation.
* Experience working third‑party diligence providers, external counsels, and rating agencies.
* Bachelor’s degree required; Masters, MBA, CFA, or equivalent preferred.
* Advanced financial modelling and cash‑flow analysis skills.
* Strong structuring mindset with a focus on downside protection and capital preservation.
* Excellent credit judgment and ability to evaluate complex risk profiles.
* Proven ability to independently lead transactions and manage multiple deals simultaneously.
* Clear, concise communicator with strong investment memo and presentation skills.
* Commercial orientation with appreciation for scale, repeatability, and long‑term partnerships.


Key Skills

* Advanced financial modelling and cash‑flow analysis skills.
* Strong structuring mindset with a focus on downside protection and capital preservation.
* Excellent credit judgment and ability to evaluate complex risk profiles.
* Proven ability to independently lead transactions and manage multiple deals simultaneously.
* Clear, concise communicator with strong investment memo and presentation skills.
* Commercial orientation with appreciation for scale, repeatability, and long‑term partnerships.


Location

* London, Greater London, England, United Kingdom


Equal Opportunity Employer

Goldman Sachs is an equal‑opportunity employer and does not discriminate on the basis of race, colour, religion, sex, national origin, age, veterans status, disability, or any other characteristic protected by applicable law.

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