We're a team of specialists charged with managing the firm’s liquidity, capital and risk, and providing the overall financial control and reporting functions. Whether assessing the creditworthiness of the firm’s counterparties, monitoring market risks associated with trading activities, or offering analytical and regulatory compliance support, our work contributes directly to the firm’s success. The division is ideal for collaborative individuals who have strong ethics and attention to detail.
What we do:
Corporate Treasury plays a central role in the firm’s overall strategy with responsibility for providing appropriate funding to support all firmwide activity while maximizing net interest income. The division allocates financial resources, raises funding and capital to support firm activity, and dynamically manages the firm’s asset liability risk and liquidity portfolio. Corporate Treasury actively engages in public markets and with businesses across the firm, investors, ratings agencies and regulators. The division is ideal for collaborative individuals with strong quantitative analysis skills, interest in portfolio management and a risk management mind set.
How we’re organized:
Corporate Treasury is responsible for financial resource management and asset liability management to facilitate all firm activity at the lowest cost possible. Functional teams within Corporate Treasury focus on resource allocation, funding planning and origination, asset liability management, trading execution, liquidity projections, liquidity policies and platforms, regulatory engagement, and LIBOR transition. The division is run by the Global Treasurer and works closely with the CFO, each of the firm’s businesses, Controllers, Operations, and Investor Relations among other groups at the firm.
Who we look for:
Professionals in Corporate Treasury have an analytical mind set, exhibit intellectual curiosity and are from diverse academic backgrounds. We’re looking for candidates who will thrive in a dynamic environment where multitasking and time management skills are essential. Working in the Corporate Treasury division, you will be exposed to securities division and banking initiatives, to new business activities, and to critical strategic programs Goldman Sachs pursues to maintain its leadership among global financial institutions. You should be, an analytical thinker, comfortable working with numbers, and driven to commercial outcomes. Strong communication and interpersonal skills are needed in order to work successfully with diverse internal and external stakeholders including businesses, external creditors and regulators.
At Goldman Sachs, we believe who you are makes you better at what you do. For us, it’s all about bringing together people who are curious, collaborative and have the drive to make things possible for our clients and communities. Corporate Treasury plays a central role in the firm’s overall strategy with responsibility for providing appropriate funding to support all firmwide activity while maximizing net interest income. Run by the Global Treasurer the division balances prudent liquidity management with interest expense management primarily through financial resource allocation, liability planning, asset liability management and liquidity portfolio management.
ABOUT OUR ROLES IN CORPORATE TREASURY
The Corporate Treasury Division partners with each of the firm's businesses to maximize firm net revenues primarily by minimizing firm interest expense while always providing sufficient and appropriate funding. To accomplish this objective, the division uses a variety of tools and models, developed by the division and in partnership with other areas of the firm to make key business decisions.
Within Corporate Treasury, you will:
- Collaborate across teams to create innovative solutions to manage balance sheet in line with broader firm’s objectives
- Work closely with market facing desks to efficiently fund the firm's assets
- Issue debt and execute hedges to manage the interest rate risk position of the firm
- Manage the firm's asset liability mix
- Analyze new business initiatives and products to assess their liquidity risks and funding and capital requirements
- Manage the firm’s overall liquidity pool, the biggest pool of asset on the balance sheet
- Manage the firm's capital base relative to risk appetite as well as funding and capital requirements
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. Founded in 1869, we are a leading global investment banking, securities and investment management firm. Headquartered in New York, we maintain offices around the world.
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 by ensuring every individual within our firm has a number of opportunities to grow professionally and personally, from our training and development opportunities and firmwide networks to benefits, wellness and personal finance offerings and mindfulness programs. Learn more about our culture, benefits, and people at GS.com/careers.
We’re committed to finding reasonable accommodations for candidates with special needs or disabilities during our recruiting process. Learn more: https://www.goldmansachs.com/careers/footer/disability-statement.html
© The Goldman Sachs Group, Inc., 2020. All rights reserved.
Goldman Sachs is an equal employment/affirmative action employer Female/Minority/Disability/Veteran/Sexual Orientation/Gender Identity