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Corporate Treasury lies at the heart of Goldman Sachs, ensuring that businesses have the appropriate level of funding to conduct their activities, while optimizing the firm's funding costs and managing liquidity risks. We are responsible for managing the firm's liquidity, funding, balance sheet and capital to maximize net interest income and return on equity through liability planning and execution, financial resource allocation, asset liability management, and liquidity portfolio management. In Corporate Treasury Engineering, you'll find an exciting confluence of computer science, finance and mathematics being used to solve for what our shareholders would like from us - a high return for the right risk taken. We own the analytics, methodologies, and infrastructure that facilitates the execution of Corporate Treasury's mandate. Our Portfolio Strategy team is looking for world class quantitative analysts to build analytics on interest PnL as well as risk managed by Corporate Treasury. As part of our team, you will be involved in capital markets and banking initiatives, new business activities, firmwide strategic programs, risk reporting, and associated processes.