The Controllers group is responsible for safeguarding the firm's assets - we help maintain the integrity of GS' finances and expenditures.
The Tax teams work in offices around the world to ensure that the Firm complies with the tax laws of the countries in which we do business.
Corporate Treasury manages the firm’s liquidity, secured and unsecured funding programs, as well as the level and composition of its consolidated and subsidiary level equity capital.
Credit protects the firm's capital against counterparty default and advises clients on credit ratings.
Firmwide Strategy develops and executes long-term strategic plans.
Market Risk Management and Analysis measures, analyzes and controls the market risk of the firm globally.
Operational Risk focuses on the development of risk assessment frameworks that identify, measure, monitor and manage risk exposures.