Jobs

Corporate Treasury Operations-Liquidity Management-New York-Analyst
New York, New York, United States
·
On-site
·
Full-time
·
6d ago
- Key Responsibilities
- Real-Time and Forward-Looking Projections: Compile and submit both immediate and future cash and collateral projections to the Short-Term Interest Rate desk and Corporate Treasury, supporting strategic decision-making.
- Foreign Exchange Order Submission: Prepare and submit Tom/Next and Cash/Next FX orders to Foreign Exchange desks for timely execution of currency trades.
- Liquidity Metrics Analysis: Analyze a variety of liquidity metrics each day and communicate findings to key stakeholders to inform risk and funding decisions.
- Inventory Optimization: Ensure firm inventory across all clearing locations is efficiently managed, optimizing for both funding flows and short covers.
- Unfunded Inventory Analysis: Provide detailed analysis of any unfunded inventory to support funding strategies.
- Bank Account Funding and Loan Monitoring: Fund firm bank accounts and oversee overnight regulated loan relationships across the firm’s entities to maintain liquidity.
- Global Collaboration: Liaise with middle office and settlements teams internationally to ensure accuracy in projections and mitigate liquidity risk.
- Collateral Allocation: Oversee allocation of collateral for Triparty secured funding trades in accordance with firm requirements.
- Funding Market Expertise: Maintain a detailed understanding of funding markets, their operational processes, and their impact on firm liquidity and regulatory metrics.
Preferred Experience:
While experience is appreciated, it is not required. Relevant areas include:
-
Secured financing transactions, encompassing both bi-lateral and triparty arrangements
-
Foreign exchange transactions, specifically tom and cash/next funding flows
-
Management of intercompany loan relationships and associated loan terms
-
Intraday credit line management
-
DTCC cash settlement, including FICC, NSCC, and DTC
-
Triparty trade allocation, settlement, and trade life-cycle management
-
FRBNY Discount Window collateral pledge and the cash advance process
-
Cash margin funding
-
Operational proficiency in sizing cash reserves, measuring intraday liquidity needs, and investing excess liquidity for optimal returns
-
Knowledge of market payment channels, including SWIFT, Fed Wire, ACH, and CHIPs
-
Experience in process improvement, from identifying efficiency opportunities to leading and implementing enhancements
-
Professional Skills
-
Attention to Detail and Analytical Ability: Demonstrates meticulous attention to detail and strong analytical skills, critical for effective liquidity management.
-
Communication Skills: Possesses strong written and verbal communication abilities, able to explain complex concepts in clear, straightforward language.
-
Proactive Time Management: Effectively analyzes workload, sets priorities, and escalates conflicts as needed to maintain workflow efficiency.
-
Risk Management: Identifies and escalates process risks, contributing to robust risk management across treasury operations.
Total Views
0
Apply Clicks
0
Mock Applicants
0
Scraps
0
Similar Jobs

Private Equity Senior Associate: Fund/Client Accounting
BNY Mellon · Dublin, Co. Dublin, Ireland

Relationship Banker - East Aurora Grey St - East Aurora, NY
JPMorgan Chase · Boston, NY

Fund Transfer Pricing & Treasury Risk Reporting - Senior Analyst
Citigroup · MUMBAI, Mahārāshtra, India

Internal Auditor, Institutional Securities, Director (AVP equivalent)
Morgan Stanley · Glasgow, United Kingdom

Part-Time Universal Banker (20 Hours), Bayside Branch
Citigroup · bayside
About Goldman Sachs

Goldman Sachs
PublicGoldman Sachs is a multinational investment bank and financial services company providing investment banking, securities, and investment management services. The firm serves corporations, financial institutions, governments, and individuals worldwide.
45,000+
Employees
Lower Manhattan
Headquarters
Reviews
2.6
10 reviews
Work Life Balance
1.8
Compensation
4.2
Culture
2.1
Career
2.9
Management
2.0
25%
Recommend to a Friend
Pros
High compensation and competitive salaries
Talented coworkers and good teamwork
Prestigious work environment
Cons
Poor work-life balance and long hours (70+ weekly)
Toxic and cutthroat competitive culture
High stress and burnout risk
Salary Ranges
21,066 data points
Junior/L3
VP
Intern
Junior/L3 · Financial Analyst
802 reports
$105,927
total / year
Base
$94,494
Stock
-
Bonus
$11,433
$72,034
$157,449
Interview Experience
5 interviews
Difficulty
3.0
/ 5
Duration
21-35 weeks
Experience
Positive 0%
Neutral 60%
Negative 40%
Interview Process
1
Application Review
2
Phone Screen/HireVue Video Interview
3
Superday/Panel Interview
4
Final Decision
Common Questions
Behavioral/STAR
Technical Knowledge
Culture Fit
Past Experience
Case Study
News & Buzz
Goldman Sachs Reaffirms Their Buy Rating on Las Vegas Sands (LVS) - The Globe and Mail
Source: The Globe and Mail
News
·
5w ago
L.M. Kohn & Company Lowers Stake in The Goldman Sachs Group, Inc. $GS - MarketBeat
Source: MarketBeat
News
·
5w ago
DistroKid, repped by Goldman Sachs and Raine, exploring a sale - Music Business Worldwide
Source: Music Business Worldwide
News
·
5w ago
Long Gold and Long Stocks - Goldman Sachs
Source: Goldman Sachs
News
·
5w ago