Corporate Treasury works intently with the CFO, Treasurer and different members of senior management to handle the agency’s funding, liquidity, capital and relationships with collectors and regulators. The division performs a key position in firmwide strategic and analytical tasks, offering a singular perception into the agency’s enterprise actions and efficiency.
Obligations
- Assist improve the agency’s framework for quantifying liquidity danger and sizing the agency’s liquidity pool
- Monitor and analyze liquidity dangers related to the agency’s enterprise actions, e.g., market making or financing for shopper
- Work intently with groups within the know-how division on enhancing Corporate Treasury’s liquidity danger modeling capabilities
- Analyze new enterprise initiatives and merchandise to evaluate their liquidity dangers and funding necessities
- Work with material specialists inside and out of doors of Corporate Treasury on analyzing liquidity stress situations
- Be a key participant in managing the agency’s day by day course of for monitoring and reporting liquidity danger
Primary Qualifications • Fast learner and skill to work in a quick paced surroundings
- Means to work on a number of tasks with a excessive consideration to element
- Means to research, consider and type unbiased judgments
- Robust verbal and written communication expertise
- Robust quantitative expertise
- Capability to work together with and construct relationships with individuals from totally different departments and ranges of seniority
- Expertise in a related subject (for instance, Danger Administration, Funding) or a quantitative background (e.g., diploma in physics or math) a plus
Goldman Sachs is an equal employment/affirmative motion employer Feminine/Minority/Incapacity/Vet. © The Goldman Sachs Group, Inc., 2015. All rights reserved.
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