Corporate Treasury - Liquidity Management - Analyst -

0 - 2 years

2 - 4 Lacs

Posted:18 hours ago| Platform: Naukri logo

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Job Type

Full Time

Job Description

  • Define the liquidity strategy of the firm, working with the Treasurer, Chief Risk Officer and Chief Financial Officer
  • Understand the current liquidity state of the firm, interpret models to highlight key activities driving an increase or reduction in the liquidity pool
  • Forecast the future liquidity state of the firm, in partnership with business heads and other treasury leaders to optimize the liquidity pool and benefit the firm s bottom-line
  • Execute strategic initiatives (including communicating across global teams/divisions) related to enhancing explaining, attributing and forecasting power of firm liquidity
  • Work together with engineering and strategists team to innovate on cutting edge tools and systems to continuously enhance our liquidity forecasting and management capabilities
  • Incentivize businesses to ensure optimal cost vs profitability balance
  • Build presentations for CEO, CFO, Board of Directors and Banking regulators
 

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Goldman Sachs logo
Goldman Sachs

Financial Services

New York

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