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Corporate Treasury - Liquidity Management - Associate
About the role
Corporate Treasury at Goldman Sachs manages the firm’s funding, liquidity, capital and regulator relationships. The Associate will manage and optimize the liquidity pool across currencies and instruments, monitor Treasury P&L and risk, and perform critical liquidity requirement analysis while collaborating with global funding teams and traders. Bengaluru, India, on-site role.
What you’ll do
- Manage and optimize firm’s liquidity pool across currencies and instruments
- Monitor and explain Treasury P&L and risk metrics
- Perform critical analysis of liquidity requirements
- Manage day‑to‑day liquidity risk metrics
- Collaborate with global funding team, traders and other divisions
- Oversee currency funding coordination
What you’ll bring
- 3-5 years finance experience
- Understanding of financial markets and funding products
- Basic knowledge of liquidity risk metrics
- Strong verbal and written communication
Nice to have
- Commercial perspective and project leadership
- Ability to manage multiple projects with high attention to detail
- Strong Excel, Tableau, and programming skills