【ゴールドマン・サックス】Corporate Treasury (Core), Cash and Liquidity Management, Analyst, Tokyo


仕事内容

Responsibilities

Taking into consideration of an individual’s personal qualification/experiences, preference and the needs of the team, we will assign the successful candidate to a subset of the following responsibilities.

Raise funding for the firm in the region and work closely with global funding team in managing the firm's liquidity
Manage various secured and unsecured funding programs, such as repo funding, structured notes, unsecured bond issuance, in partnership with other divisions
Manage and optimize the firm’s liquidity and inventory pool
Optimize the level and composition of the firm’s capital base relative to its risk profile
Analyze new business initiatives and products to assess their impact on funding requirements
Manage currency funding in close cooperation with currency traders
Demonstrate leadership by continuously enhancing processes and creating efficiencies, as well as contributing to strategic infrastructure development


応募資格(必須経験など)

Basic Qualifications

Highly-motivated with good commercial perspective and ability to lead projects and cross-divisional initiatives
Ability to work on multiple projects with a high attention to detail and good judgment on prioritization
Perform well under pressure as well as deadline oriented environment
Ability to analyze, prioritize, evaluate and form independent judgments
Ability to interact and build relationships with people from different departments and levels of seniority
Strong verbal and written communication skills
Fluency in English and Japanese is required.

Preferred Qualifications

Approximately 1 to 4 years of working experience in Treasury or finance-related functions in a major financial institution or corporate
Strong Microsoft skills are preferred and coding inclination is a big plus


給与
当社規定による

業界
Banking, Securities, and Insurance

申込期限

注意事項

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