Job Description
RESPONSBILITIES
- Develop and iteratively optimize the firm's funding liability strategy, considering cost, channel diversification, maturity concentration, and impact to key liquidity and capital metrics across baseline and designed stress scenarios
- Build and develop models, tools and analytical frameworks to enhance decision-making capabilities
- Conduct scenario analysis to help inform marginal liability management and resource allocation decisions based on liquidity availability, marginal costs, return profile, and franchise benefits
- Create presentations for discussion with the Board of Directors, senior management, regulators and other key stakeholders
BASIC QUALIFICATIONS
- Highly-motivated, detail-oriented self-starter who is comfortable operating in a fast-paced environment and balancing multiple priorities
- Excellent analytical skills, with ability to formulate problems, test hypoth...
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