Corporate Treasury Strategist

1 day ago


New York, New York, United States Goldman Sachs Full time
About This Role

At Goldman Sachs, we are committed to fostering a culture of innovation and excellence. As a Corporate Treasury Strategist, you will play a critical role in shaping the firm's liquidity risk management and funding strategies.

Key Responsibilities
  • Participate in the firm's liquidity risk analysis, cash & collateral management, and asset liability management
  • Build liquidity and ALM models in the firm's proprietary programming language
  • Understand and evolve/project the firm's liquidity needs/risks to model the excess liquidity buffer requirement
  • Work with treasury, desk strategists, and technology departments on model creation, testing, signoff, maintenance, and methodology enhancements
  • Be responsible for modeling methodologies, code base, and infrastructure
  • Analyze model output and facilitate understanding of model results by non-technical clients
  • Interact with regulators on regulatory issues, requests, and capital issues
Qualifications

We welcome applicants with academic backgrounds in quantitative fields such as engineering, mathematics, or physics, and advanced degrees (PhD or Masters) or bachelors with relevant technical work experience.

A strong analytical, mathematical, and programming background is preferred. Solid background in computer programming, C/C++/Java/MATLAB or equivalent language, preferentially in large-scale financial or technical computations. Familiarity with financial markets, financial assets, and asset pricing is a definite plus. Excellent verbal and written communication skills. Self-motivated team player.

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. 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.



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