Finance, Corporate Treasury, Liquidity Risk, Vice President

Corporate Treasury works closely with the CFO, Treasurer and other members of senior management to manage the firm’s funding,

liquidity, capital and relationships with creditors and regulators. The department plays a key role in firmwide strategic and analytical

projects, providing a unique insight into the firm’s business activities and performance.

Responsibilities

  • Lead team developing the firm’s capability to model funding and liquidity flows under different market scenarios
  • Analyze impact of firm’s derivatives trading activity on liquidity risk position and make risk management recommendations
  • Work with other teams in the securities division and technology to control business activity that is driving liquidity risk
  • Develop the firm’s infrastructure and workflow for daily risk reporting and management
  • Analyze new business initiatives and products to assess their liquidity risks and funding requirements
  • Work with subject matter experts within and outside of Corporate Treasury on analyzing liquidity stress scenarios
  • Be a key player in managing the firm’s daily process for tracking and reporting liquidity risk

Basic Qualifications• Quick learner and ability to work in a fast paced environment

  • Ability to work on multiple projects with a high attention to detail
  • Ability to analyze, evaluate and form independent judgments
  • Strong verbal and written communication skills
  • Strong quantitative skills
  • Ability to interact with and build relationships with people from different departments and levels of seniority
  • Experience in a relevant field (for example, Derivatives, Market Risk Management, Liquidity Risk, Intraday Risk) and a quantitative background (e.g., degree in physics or math) is required

Goldman Sachs is an equal employment/affirmative action employer Female/Minority/Disability/Vet. © The Goldman Sachs Group, Inc., 2015. All rights reserved.


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