601 Asset Wealth Management Birmingham Vice President Software Engineering jobs in the United Kingdom
Asset & Wealth Management - Birmingham - Vice President - Software Engineering
Job Viewed
Job Description
At Goldman Sachs, our Engineers don’t just make things - we make things possible. Change the world by connecting people and capital with ideas. Solve the most challenging and pressing engineering problems for our clients. Join our engineering teams that build massively scalable software and systems, architect low latency infrastructure solutions, proactively guard against cyber threats, and leverage machine learning alongside financial engineering to continuously turn data into action. Create new businesses, transform finance, and explore a world of opportunity at the speed of markets.
Goldman Sachs Engineers are innovators and problem-solvers, building solutions in risk management, big data, mobile and more. We look for creative collaborators who evolve, adapt to change and thrive in a fast-paced global environment.
Asset & Wealth Management Division:
Across Asset and Wealth Management (AWM), Goldman Sachs helps empower clients and customers around the world reach their financial goals.
The Private Wealth management (PWM) business within Asset & Wealth Management division provides comprehensive Investment Management services and advice across a full range of asset classes for very high net worth individuals. PWM leverages a global technology platform offering, an integrated suite of tools, and applications to service clients. This platform helps realize a client's goals and objectives, develops, and implements an integrated wealth management plan and delivers first-class client service.
Across AWM, our growth is driven by a relentless focus on our people, our clients and leading-edge technology, data, and design.
Private Wealth Management
The Private Wealth Management (PWM) business provides end to end Investment Management services and advice across a large range of asset classes for high-net-worth individuals. PWM leverages a global technology platform offering, an integrated suite of tools, and applications to onboard clients. Our software helps realize a client's goals and objectives, develops, and implements an integrated wealth management plan and delivers first-class client service.
The successful candidate will join the global PWM Onboarding Engineering Team. We develop digital solutions to help onboard and manage client and account data. We work closely with our business partners to streamline business workflows and drive growth.
HOW YOU WILL FULFILL YOUR POTENTIAL
This is a backend engineering role which will involve the candidate working across a variety of areas, primarily micro-service development in Java, Spring and interaction with MongoDB. It requires the candidate to be familiar with distributed services, testing, system monitoring and reporting, and the complete SDLC process. Any experience in application security will be preferred.
This role offers the opportunity to work with a best-in-class team of engineers building the next generation onboarding platform for PWM business. The team works directly with a variety of stakeholders, including product & operations teams, and partnering closely with engineering teams across the division to help in evolving the alternatives platform.
SKILLS AND EXPERIENCE WE ARE LOOKING FOR
- Bachelor’s or master’s degree in computer science, engineering, or related field
- Prior industry experiences developing in Java, Spring & Non-SQL technologies such as MongoDB
- Experience with micro-services, java deployments & devOps tools such as Gitlab
- Full understanding of software development lifecycle best practices
- An ability to drive to goals and milestones while valuing and maintaining a strong attention to detail
- Strong communication and documentation skills - both verbally and in writing to effectively interact with multiple people and global teams
- Excellent judgment, analytical thinking, and problem-solving skills
- Strong team player & experience working with global teams
- Self-motivated individual that possesses excellent time management and organizational skills
ABOUT GOLDMAN SACHS
At Goldman Sachs, we commit our people, capital and ideas to help our clients, shareholders and the communities we serve to grow. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world.
We believe who you are makes you better at what you do. We're committed to fostering and advancing diversity and inclusion in our own workplace and beyond by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs. Learn more about our culture, benefits, and people at GS.com/careers.
We’re committed to finding reasonable accommodations for candidates with special needs or disabilities during our recruiting process. Learn more: The Goldman Sachs Group, Inc., 2023. All rights reserved.
Goldman Sachs is an equal opportunity employer and does not discriminate on the basis of race, color, religion, sex, national origin, age, veterans status, disability, or any other characteristic protected by applicable law. #J-18808-Ljbffr
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Compliance Analyst - Investment Management
Posted today
Job Viewed
Job Description
Our client is an AIFM global asset manager
As a key member of the Compliance team the individual will be required to undertake a varied role and will primarily be responsible for assisting the team to achieve their goals and ambitions. The role can include (but not limited to) assisting with reviewing financial promotions and marketing material to ensure the firm meets its regulatory responsibilities, working with the team on undertaking the Compliance Monitoring Programme, and helping or leading on regulatory change projects
Key Responsibilities/ Accountabilities
- Undertake testing in line with the Compliance Monitoring Programme, working with the business on issues identified to ensure they are reported, and remediation is completed where needed. Review and develop the program to ensure regulatory risks are captured
- Ensure potential conflicts of interest are reviewed and appropriately escalated and recorded in line with Policies and Procedures
- Assist in the development of policies and the establishment of reviews of procedures and policies where needed
- Develop relationships with all relevant internal and external parties (such as ACD, custodians and various fund boards and committees), to ensure a culture of continuous improvement
- Be responsible for reviewing, recording and approving day-to-day compliance requests such as:
- PA Dealing
- Gifts and Benefits
- Outside business interests
- Assist the team by undertaking KYC, identification and sanction screening checks where required
- Assist the business by providing regulatory guidance where required
- Stay informed of regulatory developments and how they would impact on the business
- Carry out other duties and projects as and when required in line with team objectives
Skills & Experience
- The job holder will have gained around 2 years’ experience within the Compliance function of an AIFM
- Experience of AIFMD regulations
- An understanding of MiFID II and UCITS, SMCR and private equity would be ideal
Financial Controller - Investment Management
Posted today
Job Viewed
Job Description
Looking for a Financial Controller to join the team within an Investment Management firm, supporting the wider finance function, investment team and the MD.
Responsibilities:
- Coordinate and supervise the accounting processes and, working in partnership with the external SPV administrators and accounting firms, produce accurate and timely information, in particular focusing on:
- Quarterly accounts and investor reporting;
- Transaction and deal support.
- Monitor and review transactions including capital calls, distribution calculations and notices;
- Review management fee and carry calculations;
- Assist with forecasting of liquidity requirements for SPV entities;
- Ensure robust controls around cash movements from SPVs, including working with the asset manager/ property manager to correctly monitor and report cashflows in relation to underlying properties;
- Maintain, establish and implement financial and information reporting systems and comply with reporting frameworks (e.g., IFRS, FRS102) and other relevant legislation.
- Develop an understanding of investment holding structures and ensure these are maintained correctly.
- Work with SPV administrators, accounting firms and auditors for a successful and timely completion of the annual audits by providing support to the external auditors throughout the audit process and carrying out a thorough review of the financial statements for all SPVs.
- Work with the SPV administrators to ensure investors receive timely financial information and reporting.
- Work alongside the Asset Manager/ property manager in relation to financial and compliance matters Management Company group entities
- Supervise and coordinate the external accounting firms in the preparation of the quarterly management accounts, budgets, cash flow forecasts, corporation tax and VAT returns.
Qualifications:
- Bachelor’s or Master’s degree from a top University, ideally Mathematics, Sciences, Engineering, Economics or related disciplines
- 0-2 years PQE working for an investment manager and/or advisory firm, with some of this likely spent in real estate.
- Qualified ACA/ ACCA/ CA
Compliance Analyst - Investment Management
Posted today
Job Viewed
Job Description
Our client is an AIFM global asset manager
As a key member of the Compliance team the individual will be required to undertake a varied role and will primarily be responsible for assisting the team to achieve their goals and ambitions. The role can include (but not limited to) assisting with reviewing financial promotions and marketing material to ensure the firm meets its regulatory responsibilities, working with the team on undertaking the Compliance Monitoring Programme, and helping or leading on regulatory change projects
Key Responsibilities/ Accountabilities
- Undertake testing in line with the Compliance Monitoring Programme, working with the business on issues identified to ensure they are reported, and remediation is completed where needed. Review and develop the program to ensure regulatory risks are captured
- Ensure potential conflicts of interest are reviewed and appropriately escalated and recorded in line with Policies and Procedures
- Assist in the development of policies and the establishment of reviews of procedures and policies where needed
- Develop relationships with all relevant internal and external parties (such as ACD, custodians and various fund boards and committees), to ensure a culture of continuous improvement
- Be responsible for reviewing, recording and approving day-to-day compliance requests such as:
- PA Dealing
- Gifts and Benefits
- Outside business interests
- Assist the team by undertaking KYC, identification and sanction screening checks where required
- Assist the business by providing regulatory guidance where required
- Stay informed of regulatory developments and how they would impact on the business
- Carry out other duties and projects as and when required in line with team objectives
Skills & Experience
- The job holder will have gained around 2 years’ experience within the Compliance function of an AIFM
- Experience of AIFMD regulations
- An understanding of MiFID II and UCITS, SMCR and private equity would be ideal
Financial Controller - Investment Management
Posted today
Job Viewed
Job Description
Looking for a Financial Controller to join the team within an Investment Management firm, supporting the wider finance function, investment team and the MD.
Responsibilities:
- Coordinate and supervise the accounting processes and, working in partnership with the external SPV administrators and accounting firms, produce accurate and timely information, in particular focusing on:
- Quarterly accounts and investor reporting;
- Transaction and deal support.
- Monitor and review transactions including capital calls, distribution calculations and notices;
- Review management fee and carry calculations;
- Assist with forecasting of liquidity requirements for SPV entities;
- Ensure robust controls around cash movements from SPVs, including working with the asset manager/ property manager to correctly monitor and report cashflows in relation to underlying properties;
- Maintain, establish and implement financial and information reporting systems and comply with reporting frameworks (e.g., IFRS, FRS102) and other relevant legislation.
- Develop an understanding of investment holding structures and ensure these are maintained correctly.
- Work with SPV administrators, accounting firms and auditors for a successful and timely completion of the annual audits by providing support to the external auditors throughout the audit process and carrying out a thorough review of the financial statements for all SPVs.
- Work with the SPV administrators to ensure investors receive timely financial information and reporting.
- Work alongside the Asset Manager/ property manager in relation to financial and compliance matters Management Company group entities
- Supervise and coordinate the external accounting firms in the preparation of the quarterly management accounts, budgets, cash flow forecasts, corporation tax and VAT returns.
Qualifications:
- Bachelor’s or Master’s degree from a top University, ideally Mathematics, Sciences, Engineering, Economics or related disciplines
- 0-2 years PQE working for an investment manager and/or advisory firm, with some of this likely spent in real estate.
- Qualified ACA/ ACCA/ CA
Director of Wealth & Investment Management
Posted 9 days ago
Job Viewed
Job Description
Director of Wealth & Investment Management
Location: City, London
Package: Competitive salary + Bonus + Benefits
Director of Wealth & Investment Management - Company Overview:
My client is a leading wealth management firm, delivering personalised financial advice and comprehensive services in wealth planning, investment management, and lending. Their approach to Wealth & Investment Management is centred on long-term client relationships, preserving and growing wealth, and providing highly tailored solutions. With decades of expertise in Wealth & Investment Management, my client has earned the trust of high-net-worth individuals seeking both security and opportunity.
Director of Wealth & Investment Management - Role Overview:
My client is seeking a Director of Wealth & Investment Management to lead and expand their private banking and investment services. This is a senior appointment with responsibility for strategic leadership, business development, and the delivery of a seamless, client-first experience across all Wealth & Investment Management activities.
Director of Wealth & Investment Management - Key Responsibilities:
- Lead the Wealth & Investment Management teams, driving growth and ensuring exceptional client service. li>Build and maintain strong relationships with high-net-worth clients, delivering bespoke solutions in Wealth & Investment Management.
- Oversee investment, lending, and wealth planning services to align with clients’ objectives. < i>Develop business strategies to grow assets under management and strengthen my client’s Wealth & Investment Management offering. < i>Work closely with internal teams to ensure seamless delivery of Wealth & Investment Management services.
- Mentor senior relationship managers, promoting a high-performance, client-first culture within Wealth & Investment Management.
- Ensure compliance with all regulatory requirements in the delivery of Wealth & Investment Management solutions.
Director of Wealth & Investment Management - Candidate Requirements:
- Significant experience in Wealth & Investment Management or private banking, with a track record in client acquisition and portfolio growth.
- Strong leadership skills with experience managing high-performing teams in Wealth & Investment Management.
- Excellent communication and relationship-building abilities.
- Broad knowledge of investment strategies, lending, and wealth planning for high-net-worth clients.
Why Join My Client:
- A senior leadership role in a respected wealth management business focused on bespoke Wealth & Investment Management services.
- A culture that values integrity, growth, and long-term client relationships.
- Competitive remuneration and benefits aligned with seniority and performance.
Director of Wealth & Investment Management
Director of Wealth & Investment Management
Posted 9 days ago
Job Viewed
Job Description
Director of Wealth & Investment Management
Location: City, London
Package: Competitive salary + Bonus + Benefits
Director of Wealth & Investment Management - Company Overview:
My client is a leading wealth management firm, delivering personalised financial advice and comprehensive services in wealth planning, investment management, and lending. Their approach to Wealth & Investment Management is centred on long-term client relationships, preserving and growing wealth, and providing highly tailored solutions. With decades of expertise in Wealth & Investment Management, my client has earned the trust of high-net-worth individuals seeking both security and opportunity.
Director of Wealth & Investment Management - Role Overview:
My client is seeking a Director of Wealth & Investment Management to lead and expand their private banking and investment services. This is a senior appointment with responsibility for strategic leadership, business development, and the delivery of a seamless, client-first experience across all Wealth & Investment Management activities.
Director of Wealth & Investment Management - Key Responsibilities:
- Lead the Wealth & Investment Management teams, driving growth and ensuring exceptional client service. li>Build and maintain strong relationships with high-net-worth clients, delivering bespoke solutions in Wealth & Investment Management.
- Oversee investment, lending, and wealth planning services to align with clients’ objectives. < i>Develop business strategies to grow assets under management and strengthen my client’s Wealth & Investment Management offering. < i>Work closely with internal teams to ensure seamless delivery of Wealth & Investment Management services.
- Mentor senior relationship managers, promoting a high-performance, client-first culture within Wealth & Investment Management.
- Ensure compliance with all regulatory requirements in the delivery of Wealth & Investment Management solutions.
Director of Wealth & Investment Management - Candidate Requirements:
- Significant experience in Wealth & Investment Management or private banking, with a track record in client acquisition and portfolio growth.
- Strong leadership skills with experience managing high-performing teams in Wealth & Investment Management.
- Excellent communication and relationship-building abilities.
- Broad knowledge of investment strategies, lending, and wealth planning for high-net-worth clients.
Why Join My Client:
- A senior leadership role in a respected wealth management business focused on bespoke Wealth & Investment Management services.
- A culture that values integrity, growth, and long-term client relationships.
- Competitive remuneration and benefits aligned with seniority and performance.
Director of Wealth & Investment Management
Compliance Manager - Advisory - Investment Management
Posted 9 days ago
Job Viewed
Job Description
The Compliance Manager will oversee and strengthen compliance processes within the financial services industry, ensuring adherence to regulatory frameworks.
Client Details
Mid-sized investment management firm.
Description
- To provide a proactive and technical service to the business on the interpretation and guidance of the FCA's rules (and any other relevant regulatory or legal issues that may apply);
- To provide impact assessment and gap analysis for any new FCA initiatives;
- Contribute to and take the lead in regulatory change and business change projects as required;
- 'Local' Consumer Duty and Product Governance Champion/SME for Compliance and Compliance lead for Vulnerable Customers;
- Compliance lead for SMCR and TC;
- Maintenance and improvement of Compliance policies in line with best practice and engagement with the business to ensure the embedding of said policies;
- Coordinate and deliver Compliance training, including induction training.
Profile
A successful Compliance Manager should have:
- Ability to interpret complex regulations and relay them practically to the business.
- Experience in interpretation and implementation of regulatory change within a business environment.
Job Offer
- Circa 75,000 equivalent salary, dependant on experience.
- Opportunity to work within a structured and professional environment in London.
- Chance to advance your career in the financial services industry.
If you are an experienced Compliance Manager looking to make an impact, we encourage you to apply for this exciting opportunity in London.
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Compliance Manager - Advisory - Investment Management
Posted 9 days ago
Job Viewed
Job Description
The Compliance Manager will oversee and strengthen compliance processes within the financial services industry, ensuring adherence to regulatory frameworks.
Client Details
Mid-sized investment management firm.
Description
- To provide a proactive and technical service to the business on the interpretation and guidance of the FCA's rules (and any other relevant regulatory or legal issues that may apply);
- To provide impact assessment and gap analysis for any new FCA initiatives;
- Contribute to and take the lead in regulatory change and business change projects as required;
- 'Local' Consumer Duty and Product Governance Champion/SME for Compliance and Compliance lead for Vulnerable Customers;
- Compliance lead for SMCR and TC;
- Maintenance and improvement of Compliance policies in line with best practice and engagement with the business to ensure the embedding of said policies;
- Coordinate and deliver Compliance training, including induction training.
Profile
A successful Compliance Manager should have:
- Ability to interpret complex regulations and relay them practically to the business.
- Experience in interpretation and implementation of regulatory change within a business environment.
Job Offer
- Circa 75,000 equivalent salary, dependant on experience.
- Opportunity to work within a structured and professional environment in London.
- Chance to advance your career in the financial services industry.
If you are an experienced Compliance Manager looking to make an impact, we encourage you to apply for this exciting opportunity in London.
Business Analyst - Investment Management/Custody
Posted today
Job Viewed
Job Description
Business Analyst – Investment Management & Custody
Location: London (Hybrid)
About Albany Beck
Albany Beck are a Management Consultancy focused on providing specialist talent and transformative solutions to Financial Services clients. We combine subject matter expertise with innovative delivery models that help clients scale efficiently, while offering meaningful, long-term career opportunities to our people. At Albany Beck, you’ll be choosing to work with an organisation that’s passionate about your learning journey and committed to your professional career and personal development.
Role Overview
We are seeking an experienced Business Analyst to join our Change & Transformation Practice, We are seeking an experienced Business Analyst for an immediate deployment onsite with one of our leading Wealth Management clients. The ideal candidate will have strong core BA skills, with proven experience in delivering large-scale change programmes. While Wealth Management experience is highly advantageous, it is not essential. Strong Investment Management and/or Custody knowledge is required
Key Responsibilities
- Gather, analyse, and document business requirements from stakeholders across multiple workstreams.
- Translate business needs into clear and actionable functional and non-functional requirements.
- Support solution design to ensure alignment with strategic objectives.
- Map and analyse current vs target processes, identifying opportunities for operational efficiency.
- Work closely with technology teams to ensure effective delivery of solutions.
- Support testing phases, validating requirements and triaging defects.
- Contribute to governance processes, reporting progress to senior stakeholders.
- Operate effectively in a fast-paced, client-facing environment.
Key Skills & Experience
- Proven track record as a Business Analyst, ideally within financial services.
- Strong knowledge of investment management and/or custody operations.
- Wealth management experience is highly desirable but not essential.
- Strong payments knowledge and experience in end-to-end transaction flows.
- Experience on large-scale transformation programmes, ideally involving core platform migration.
- Exposure to Avaloq implementation projects is highly advantageous.
- Excellent stakeholder management and communication skills.
- Proficiency in process mapping and producing high-quality documentation.
- Ability to thrive under pressure and meet tight deadlines.
Business Analyst - Investment Management/Custody
Posted today
Job Viewed
Job Description
Business Analyst – Investment Management & Custody
Location: London (Hybrid)
About Albany Beck
Albany Beck are a Management Consultancy focused on providing specialist talent and transformative solutions to Financial Services clients. We combine subject matter expertise with innovative delivery models that help clients scale efficiently, while offering meaningful, long-term career opportunities to our people. At Albany Beck, you’ll be choosing to work with an organisation that’s passionate about your learning journey and committed to your professional career and personal development.
Role Overview
We are seeking an experienced Business Analyst to join our Change & Transformation Practice, We are seeking an experienced Business Analyst for an immediate deployment onsite with one of our leading Wealth Management clients. The ideal candidate will have strong core BA skills, with proven experience in delivering large-scale change programmes. While Wealth Management experience is highly advantageous, it is not essential. Strong Investment Management and/or Custody knowledge is required
Key Responsibilities
- Gather, analyse, and document business requirements from stakeholders across multiple workstreams.
- Translate business needs into clear and actionable functional and non-functional requirements.
- Support solution design to ensure alignment with strategic objectives.
- Map and analyse current vs target processes, identifying opportunities for operational efficiency.
- Work closely with technology teams to ensure effective delivery of solutions.
- Support testing phases, validating requirements and triaging defects.
- Contribute to governance processes, reporting progress to senior stakeholders.
- Operate effectively in a fast-paced, client-facing environment.
Key Skills & Experience
- Proven track record as a Business Analyst, ideally within financial services.
- Strong knowledge of investment management and/or custody operations.
- Wealth management experience is highly desirable but not essential.
- Strong payments knowledge and experience in end-to-end transaction flows.
- Experience on large-scale transformation programmes, ideally involving core platform migration.
- Exposure to Avaloq implementation projects is highly advantageous.
- Excellent stakeholder management and communication skills.
- Proficiency in process mapping and producing high-quality documentation.
- Ability to thrive under pressure and meet tight deadlines.