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A leading financial institution seeks an Analyst for its Corporate Treasury team in Salt Lake City. The role involves developing funding strategies, analyzing large data sets, and collaborating with various teams to optimize resource deployment. Ideal candidates will possess strong analytical and communication skills, thrive in dynamic environments, and be detail-oriented self-starters. The position offers exposure to strategic initiatives and the opportunity to engage with senior management and external stakeholders.
Corporate Treasury, Funding & Capital Planning, Analyst, Salt Lake City, Utah, United States
Corporate Treasury plays a central role in the firm’s overall strategy, responsible for providing funding to support firmwide activities while maximizing net interest income. The division raises funding and capital via public and private markets, allocates resources to facilitate client activity and strategic initiatives, and manages the firm’s asset-liability risk and liquidity portfolio. It actively engages with capital markets, ratings agencies, regulatory bodies, and internal business lines.
We seek professionals with analytical minds, intellectual curiosity, and diverse academic backgrounds. Candidates should thrive in dynamic environments, demonstrating attention to detail, multitasking, and strong time management skills.
The division favors collaborative individuals with quantitative skills, curiosity, and a risk-aware, commercial mindset. Working in Corporate Treasury offers exposure to all aspects of the firm, including new business activities and strategic programs. Strong communication and interpersonal skills are essential for working with internal teams, leadership, creditors, regulators, and external partners.
The Resource Deployment and Strategy (“RDS”) team manages the firm’s balance sheet from both asset and liability perspectives and contributes to the firm’s strategic execution. Working with senior management, RDS designs and executes funding strategies, manages debt and equity programs, deposits portfolios, and collaborates with resource managers to deploy the balance sheet effectively. The team aims to optimize funding costs, minimize risks, and support liquidity allocation decisions.
Individuals in this role should excel at detailed trade recommendations and strategic thinking, developing deep knowledge of funding products and related business activities.
We offer comprehensive health and welfare programs, competitive vacation policies, financial wellness and retirement planning support, health services, fitness facilities, child and family care services, and other benefits. Learn more about the full suite of benefits offered by Goldman Sachs.