Job Summary & Responsibilities The Strat?s group within Goldman Sachs is a world leader in developing quantitative techniques and technological solutions that solve complex and commercial business problems. The Corporate Treasury Strat?s group sits within the Financial Engineering function of Goldman Sachs, which spans engineering teams across Liquidity, Capital, Controller and Risk functions and specifically works within the Corporate Treasury Group.
Corporate Treasury works closely with the CFO, Treasurer and other members of senior management to manage the firm?s liquidity risk, secured and unsecured funding programs, and the level and composition of consolidated and subsidiary equity capital. The department plays a key role in firmwide strategic and analytical projects, providing a unique insight into the firm?s business activities and performance. Our primary objectives are to :
? Maintain an appropriate level of excess liquidity to protect against market-wide or Goldman ? Sachs-specific stresses and to meet intraday liquidity requirements Determine the appropriate funding strategy for assets based upon their liquidation profiles ? Raise funding across diverse markets, investors, and products; and, Hold adequate capital to protect against risk of loss and to meet regulatory requirements
Basic Qualifications ? Corporate Treasury Strats welcomes applicants with Master?s degree in financial engineering (or a related degree), with a PhD in a quantitative discipline, or relevant professional experience. ? Strong analytical skills, mathematical fluency, and programming abilities are required. ? Solid background in computer programming, C++, Java, Matlab or equivalent language, preferentially in large scale financial or technical computations ? Familiarity with financial markets, financial assets, and asset pricing Excellent verbal and written communication skills