Corporate Treasury-Funding Execution Trader- Vice President- London
Job Summary
Corporate Treasury
Were a team of specialists charged with managing the firms funding liquidity capital and relationships with creditors and regulators. Corporate Treasury manages the firms financial resources and minimizes interest expense through liability planning asset liability management and liquidity portfolio yield enhancement. The division is ideal for collaborative individuals who have strong quantitative analysis skills and risk management capabilities since Treasury actively manages the firms financial resources which are constantly changing due to business activity markets risk appetite regulations and other factors.
RESPONSIBILITIES AND QUALIFICATIONS
Corporate Treasury is looking for a Vice President to join its Funding Execution team in London. The Funding Execution team is responsible for pricing and risk management of external secured and unsecured funding structures as well as optimizing the firms capital and liquidity metrics associated with Treasury funding desk works closely with other parts of Corporate Treasury and sales trading and structuring teams within the firms Global Markets & Banking division to source funding required by firms asset side businesses. The Funding Execution product suite includes repos collateral upgrades swaps loans benchmark debt bond borrows and notes as well as other more complex products all used to deliver financing solutions for both the firm and its clients. The Execution team works out of the New York London Paris Tokyo and Hong Kong offices.
PRINCIPAL RESPONSIBILITIES
- Execute and price secured and unsecured structured and vanilla funding transactions across the firms liability spectrum
- Partner with Structuring Technology Strats Sales and Trading to deliver financing solutions for clients while expanding and diversifying the firms funding franchise
- Generate and implement trade ideas that reduce interest expense optimize capital consumption and enhance firm/regulatory liquidity metrics
- Manage funding interest rate basis cross-currency and FX risks associated with existing and prospective funding transactions
- Support the sustainable growth and diversification of the firms secured and unsecured funding footprint
- Partner with sales teams across the firm to understand counterparty funding capabilities and how they can best be met with firm funding products offered
QUALIFICATIONS/SKILLS
- Bachelors degree required
- 6 years of trading and/or risk management experience in funding financing or rates markets
- Strong understanding of secured and unsecured funding markets including repos securities lending and derivative-based funding solutions
- Understanding of balance sheet capital and liquidity considerations and their impact on funding decisions.
- Demonstrated ability to analyze complex transactions challenge assumptions and exercise independent judgement
- Strong analytical problem solving interpersonal and quantitative skills
- Strong verbal and written communication skills
Required Experience:
Exec
About Company
The Goldman Sachs Group, Inc. is a leading global investment banking, securities, and asset and wealth management firm that provides a wide range of financial services.