Corporate Treasury Expert

6 days ago


London, Greater London, United Kingdom Illinois CPA Society Full time

At Goldman Sachs, we are seeking an experienced Corporate Treasury Expert to join our team. As a key member of our Corporate Treasury group, you will be responsible for developing and implementing strategic initiatives to optimize the firm's liquidity and manage risk.

Job Responsibilities
  • Build and maintain complex models to attribute, explain, and perform scenario analyses on various liquidity metrics.
  • Develop and implement advanced analytics tools to support trading decisions and risk management.
  • Collaborate with cross-functional teams to identify areas for process improvement and implement changes.
Requirements
  • Advanced degree in a quantitative field such as engineering, mathematics, or physics.
  • 5+ years of experience in the financial services industry, preferably in trading or quantitative analysis.
  • Expertise in Python, C++, or other programming languages; strong understanding of data structures, algorithms, and software design.
  • Experience with financial markets and assets; preference for vanilla interest rate derivative pricing, bond and deposit pricing, curve construction, hedging strategies, and risk management.
  • Excellent analytical and problem-solving skills; ability to communicate complex ideas effectively.
About the Opportunity

We offer a competitive salary of $150,000 - $200,000 per year, commensurate with experience. Our benefits package includes comprehensive health insurance, retirement plan matching, and generous paid time off.



  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    Career OpportunityTax & Treasury Recruitment is partnering with one of our multi-national clients to recruit a Corporate Treasury Lead.This role has been created to drive companywide Treasury Projects and support the development of a centralised, integrated Treasury function.The successful candidate will be responsible for managing a small team who are...


  • London, Greater London, United Kingdom JSS Search Full time

    A highly skilled Corporate Treasury Expert is required to join JSS Search in London, UK. The ideal candidate will have significant experience in corporate treasury and be proficient in Excel.Key responsibilities include:Cashflow forecasting and liquidity managementFinancial risk management, including interest rate hedgingDevelopment of long-term cashflow...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    Job TitleTreasury Operations ManagerAbout the RoleThis is an exciting opportunity to join Tax & Treasury Recruitment as a Treasury Operations Manager. Reporting directly to the Treasury Operations Director, you will play a key role in delivering core operations processes, coaching and mentoring the Treasury Operations team, and maintaining a strong...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    We require an experienced Central Treasury Head to lead our Centralised Treasury Function in Central London.The successful candidate will be responsible for delivering core operations processes, coaching and mentoring the Treasury Operations team, and maintaining a strong operational control environment.The ideal candidate will have excellent written...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    We are seeking a seasoned Treasury Operations Director to lead our Centralised Treasury Function in Central London.This role has been created following a significant acquisition and subsequent transformation programme, requiring an experienced professional to deliver core operations processes, coach, mentor and develop the Treasury Operations team, and...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    Job DescriptionTreasury Manager - ProjectsWe are looking for a highly skilled Treasury Manager to join our client's team in Central London. The successful candidate will be responsible for managing a small team and coordinating company-wide Treasury projects.The ideal candidate will have a strong background in Treasury operations, with experience in managing...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    Key ChallengesTreasury Operations Manager - Projects is a key role within Tax & Treasury Recruitment's client organisation, requiring a high level of expertise and experience.The successful candidate will be responsible for managing a small team, developing and implementing RFPs, and coordinating/leading companywide treasury projects.This is an exciting...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    Job OverviewTax & Treasury Recruitment is seeking a highly skilled Treasury Operations Manager to join their team in Central London. This role has been created following a significant acquisition and subsequent transformation programme to build a centralised, integrated Treasury function.The successful candidate will have experience of drafting Board notes,...


  • London, Greater London, United Kingdom JSS Search Full time

    Treasury Finance ExpertCash Management and FX Activity.JSS Search are seeking a Treasury Finance Expert to join their London team. This role will focus on cash management, cash analytics and FX activity within a corporate environment. The ideal candidate will have 2+ years of core treasury experience, with a strong background in cash analytics within a large...


  • London, Greater London, United Kingdom Tax & Treasury Recruitment Full time

    About the RoleThis is a pivotal position within our client's Treasury department, reporting directly to the Treasury Operations Director. The role entails overseeing the core Operations processes, mentoring and developing the Treasury Operations team, and maintaining a robust operational control environment.The successful candidate will have excellent...


  • London, Greater London, United Kingdom Goldman Sachs Full time

    Job Summary:We are seeking a highly skilled Corporate Treasury Operations Expert to join our team at Goldman Sachs. This role involves working closely with senior stakeholders to deliver key projects and driving best-in-class standards within the Payment Rail Governance team.Main Responsibilities:Develop and maintain processes and controls that enable...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    About the RoleWe are seeking a highly skilled and experienced Treasury Financial Specialist to join our dynamic treasury team at Empirical Search Limited. This is a unique opportunity to develop and maintain treasury systems, processes, reporting, cash management & forecast, and risk management.Key ResponsibilitiesResponsible for producing daily bank and...


  • London, Greater London, United Kingdom ED&F Man Commodities Full time

    Financial Services Career Opportunity">We are seeking an experienced CORPORATE TREASURY ASSISTANT to join our team at ED&F Man Commodities.The successful candidate will be responsible for assisting with the resolution of payment, loan, and FX discrepancies, providing backup and support for corporate treasury activities, and managing internal loans,...

  • Treasury Expert

    6 days ago


    London, Greater London, United Kingdom Empirical Search Limited Full time

    Job Description:A highly skilled Treasury Expert is required to manage the daily operational activity of the Group Treasury, working closely with the Deputy Head of Treasury and a small team of Treasury professionals.The ideal candidate will have experience in a Group Treasury setting, with a strong understanding of Treasury concepts, including debt funding,...


  • London, Greater London, United Kingdom Skill Farm Corp. Full time

    Treasury Operations Specialist Job SummaryThe ideal candidate for this position will possess strong analytical and technical skills, with experience in corporate treasury environments. As a key member of our team, you will be responsible for executing FX deals, managing bank accounts, and providing backup support for various treasury activities.


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    We are Empirical Search Limited, a leading Fintech company specializing in payment solutions for corporate and global enterprises. We are seeking a highly skilled Global Treasury Solutions Expert to lead our treasury markets team.Job DescriptionDrive the treasury strategy and optimize key market risks, particularly FX risks, and excess liquidity and funding...


  • London, Greater London, United Kingdom Empirical Search Limited Full time

    Job Overview:Empirical Search Limited is seeking a highly experienced Head of Corporate Treasury Operations to join our team. The successful candidate will lead a team of Treasury professionals in managing the bank's liquidity risk through regular and accurate cashflow and liquidity reporting.The Head of Corporate Treasury Operations will be responsible for...


  • London, Greater London, United Kingdom Cint AB Full time

    Cint AB is a global leader in research technology, seeking a highly skilled Global Treasury Expert to join its team. This role offers an exciting opportunity to shape the company's global cash management strategy and drive business growth.About the RoleThe successful candidate will have extensive experience in corporate treasury, including leadership roles...


  • London, Greater London, United Kingdom HM TREASURY Full time

    **Role Description**We are looking for an outstanding Executive Advisor for Public Finances to join our team at HM Treasury. As a member of the Corporate Centre Leadership team, you will be responsible for managing the group and playing an active role in the delivery of the cross-government finance functional agenda within the Treasury group.You will work...


  • London, Greater London, United Kingdom JSS Search Full time

    Treasury Cash AnalystOur client, a well-established corporate in London, is seeking an experienced Treasury Cash Analyst to join their team. This role focuses on cash management, cash analytics, and FX activity.Key Responsibilities:Daily and monthly cash processesCashflow forecasting and reviewLiquidity planning and optimisationMonitoring FX...