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 liability planning, asset liability management, and liquidity portfolio yield enhancement.
Requirements
- Highly motivated, detail-oriented self-starter who is comfortable operating in a fast-paced environment and manage multiple priorities.
- Strong analytical skills with ability to formulate problems, analyse large datasets and translate analysis into clear conclusions.
- Strong Excel skills and experience working with financial data and analytical tools.
- Understanding of financial institutions balance sheets and funding structures.
- Strong written and oral communication skills with ability to prepare clear presentation materials for senior executives.
- Strong teamwork and interpersonal skills to collaborate with global team members across time zones.
Benefits
- Opportunities to grow professionally and personally
- Training and development opportunities
- Firmwide networks
- Benefits, wellness and personal finance offerings
- Mindfulness programs