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골드만삭스증권

Corporate Treasury, Funding & Capital Planning, Associate/Vice President, Seoul

51-300명
  • 공고소개
  • 주요업무
  • 자격요건
  • 채용절차
We're a team of specialists charged with managing the firm’s funding, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages the firm’s financial resources and minimizes interest expense through liquidity management, 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 firm’s financial resources which are constantly changing due to business activity, markets, risk appetite, regulations, and other factors.

주요업무

• Contribute to the design and management of the firm’s global entity footprint optimizing liquidity and capital resources • Develop and maintain liquidity and capital management policies • Raise funding for the firm and work closely with the global funding team in managing the firm's liquidity • Develop and iteratively optimize the firm’s funding strategy, considering cost, channel diversification, maturity concentration, and impact to key liquidity and capital metrics, with a focus on Korean entities • Build models, develop analytical frameworks, and conduct scenario analysis to help inform marginal liquidity and capital management and financial resource allocation decisions • Act as a primary point of contact for revenue divisions in Korea and broader APAC, through Treasury’s global “business coverage” model • Partner with key stakeholders in Global Banking & Markets and Asset & Wealth Management to deploy the firm’s balance sheet, and to facilitate new activities • Develop reporting for, and present analyses of, subsidiary-level funding plans, for use by internal and external stakeholders, including senior management and regulators • Engage with external stakeholders including regulatory agencies, ratings agencies, and funding counterparties in various forums • Develop meaningful partnerships with internal stakeholders; develop tools to enhance decision-making capabilities

자격 요건

• Approximately 3 to 6 years of working experience in Treasury or a finance-related function in a major financial institution or corporate • Excellent analytical skills, with ability to formulate problems, test hypotheses, and condense complex problems into plain language • Experience managing and interpreting large amounts of data, and analyzing the output to identify trends and present solutions through business intelligence tools such as Tableau • Functional understanding of financial institution financial reports, as well as subsidiary liquidity and capital requirements such as FSS Liquidity Ratios • Strong written and oral communication skills with ability to produce polished presentation materials for senior executives • Strong teamwork and interpersonal skills • Highly motivated, detail-oriented self-starter who is comfortable operating in a fast-paced environment and balancing multiple priorities • Fluency in English and Korean is required

채용절차

For more details, please refer to the company website.
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골드만삭스증권

Corporate Treasury, Funding & Capital Planning, Associate/Vice President, Seoul

51-300명
연봉협의
근무지서울특별시 전체
경력3년~6년 차
학력학력 무관
마감일
채용 시 마감
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