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Corporate Treasury Strats - VP

Bangalore, India | Goldman Sachs

  • Industry:
    Financial Services
  • Position Type:
  • Functions:
    Accounting / Control
    Financial Services Professional
  • Experience:
Job Description:
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Participate in the firm’s liquidity risk analysis, cash & collateral management, and asset liability management

Build liquidity and ALM models in the firm proprietary programming language

Understand and evolve/project the firm’s liquidity needs/risks to model the excess liquidity buffer requirement.

Work with treasury, desk strategists, and technology departments on model creation, testing, signoff, maintenance, and methodology enhancements

Be responsible for modeling methodologies, code base, and infrastructure

Analyze model output and facilitate understanding of model results by non-technical clients

Interact with Regulators on regulatory issues, requests, and capital issues


Corporate Treasury Strategists (or Strats) welcomes applicants with academic background in a quantitative field such as Engineering, Mathematics or Physics -- advanced degrees (PhD or Master’s) or Bachelor’s with relevant technical work experience. A strong analytical, mathematical and programming background is preferred.

Solid background in computer programming, C/C++/Java/MATLAB or equivalent language, preferentially in large scale financial or technical computations

Familiarity with financial markets, financial assets, and asset pricing is a definite plus

Excellent verbal and written communication skills

Self-motivated team player

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