Location
London
Hours
Full Time
Salary
Negotiable
About the Role
Our core value is building strong relationships with our institutional clients, including corporations, financial service providers, and fund managers. We help them buy and sell financial products on exchanges worldwide, raise funding, and manage risk. This dynamic, entrepreneurial team thrives in fast-paced, changing environments and is energized by a bustling trading floor.
As an Analyst or Associate on the Global Markets team in London, focusing on our Turkish franchise, you will play a key role in driving the growth of our Emerging Markets business. You will work closely with senior sales professionals, traders, and structuring teams to deliver market-leading solutions to Turkish institutional clients and corporates.
You will take active ownership of client relationships, transaction execution, and franchise-building initiatives from day one. Responsibilities include leading the pricing, structuring, and execution of transactions across a broad suite of products such as FX options, interest rate/currency swaps, and fixed income instruments. You will manage day-to-day institutional client coverage, delivering timely market color, trade ideas, and macroeconomic updates relevant to the Turkish and broader Emerging Markets landscape.
Partnering with trading, structuring, and research desks, you will develop and pitch tailored risk management, hedging, and investment solutions. You will also drive the onboarding process for new clients by collaborating closely with Credit, Legal, Compliance, and Operations teams. Additionally, you will conduct comprehensive competitive analysis and portfolio modeling to identify new revenue-generating opportunities for the franchise.
Goldman Sachs fosters a culture of teamwork, innovation, and meritocracy, supporting each colleague professionally and personally.
Experience
Proven ability to price and model derivative structures with advanced proficiency in MS Excel and financial modeling. Experience managing risk and executing transactions under pressure in a fast-paced trading floor environment is essential.
About you
Highly motivated, proactive, and entrepreneurial individual with a passion for financial markets. Ability to thrive in a dynamic environment and build strong client relationships. Native or professional fluency in both Turkish and English (written and verbal) is strictly required to manage relationships with Turkish institutional clients and local market counterparties.
Qualifications
Bachelor’s or Master’s degree in Finance, Economics, Mathematics, Engineering, or a highly quantitative discipline. Strong technical and practical understanding of global financial markets, with specific expertise in FX options, interest rate/currency swaps, and fixed income products.
Preferred qualifications include deep understanding of the Turkish macroeconomic environment, Central Bank of the Republic of Turkey (CBRT) monetary policy, and local regulatory frameworks (e.g., BDDK/SPK rules). Existing relationships with Turkish banks, asset managers, hedge funds, or large corporate treasuries are highly advantageous, particularly for Associate level candidates. Advanced proficiency with Bloomberg Terminal and other market data platforms is also preferred.
Goldman Sachs










