Corporate Treasury-Resource Deployment & Strategy-Salt Lake City-Analyst
Goldman Sachs · Salt Lake City, UT · 4 days ago
Business DevelopmentFull-time
About the role
The Corporate Treasury division plays a central role in the firm’s overall strategy, focusing on providing appropriate funding to support all firmwide activity while maximizing net interest income. The division raises funding and capital via public and private markets, allocates financial resources to facilitate client activity and strategic initiatives, and dynamically manages the firm’s asset-liability risk and liquidity portfolio.
Responsibilities
- Partner with key stakeholders in Global Banking and Markets, Asset and Wealth Management, and Platform Solutions to deploy the firm’s balance sheet, facilitate new product launches, and make resource allocation decisions
- Develop reporting for, and present analyses of, firmwide and subsidiary-level funding plans, for use by internal and external stakeholders, including firmwide senior management, regulators, and investors
- Engage with external stakeholders including regulatory agencies, ratings agencies, and funding counterparties
- Develop and iteratively optimize the firm’s funding liability strategy, considering cost, channel diversification, maturity concentration, and impact to key liquidity and capital metrics
- Develop analytical frameworks and conduct scenario analysis to help inform marginal liability management and resource allocation decisions based on liquidity availability, marginal costs, return profile, and franchise benefits
Qualifications
- Excellent analytical skills, with demonstrated ability to perform detail-oriented analyses and present high-level conclusions to senior management
- Highly-motivated, detail-oriented self-starter who is comfortable operating in a fast-paced environment and balancing multiple priorities
- Experience managing and interpreting large amounts of data, and analyzing the output to identify trends and present solutions through business intelligence tools such as Tableau
- Functional understanding of financial institution liquidity metrics, Bank balance sheet
- Knowledge of deposits, fixed income, repo, and/or Equities markets a plus
- Strong written and oral communication skills with ability to produce polished presentation materials for senior executives
- Strong teamwork and interpersonal skills