Treasury Software Engineer - Liquidity Analytics

The Goldman Sachs Group

New York (NY)

On-site

USD 120,000 - 180,000

Full time

14 days+

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Job summary

The Goldman Sachs Group is seeking world-class software engineers for its Corporate Treasury Engineering team in New York. You will help improve liquidity projections, optimize financial resource allocation, and support cash and collateral management and transfer pricing strategies.

Join a back-to-front integrated group working on scalable data architectures, optimization algorithms, and close collaboration with traders and treasury partners to deliver high-impact solutions.

Qualifications

  • Bachelor's or master's degree in a technical discipline is required.
  • Strong analytical and problem-solving abilities.
  • Excellent communication with technical and business audiences.
  • Experience with multiple stakeholders and global teams.
  • 1-3 years of technology programming experience.

Responsibilities

  • Use engineering to identify and measure risk and implement quantitative risk management solutions.
  • Forge relationships with business partners to enhance treasury systems and processes.
  • Apply analytics to drive commercial outcomes and communicate with precision and clarity.
  • Understand business needs and develop process workflow, data requirements, and specifications for implementation.
  • Develop scalable architecture and implement software across the full SDLC cycle.
  • Explore latest technology offerings and platforms to build optimal solutions.
  • Work closely with business to create real-time impact and deliver product with value.

Skills

Analytical skills
Problem solving
Communication
Team collaboration
Multi-tasking
Entrepreneurial mindset

Education

Bachelor's or Master's degree in Computer Science, Mathematics, Electrical Engineering, or related technical discipline

Job description

The Goldman Sachs Group is seeking world-class software engineers for its Corporate Treasury Engineering team in New York. You will help improve liquidity projections, optimize financial resource allocation, and support cash and collateral management and transfer pricing strategies.

Join a back-to-front integrated group working on scalable data architectures, optimization algorithms, and close collaboration with traders and treasury partners to deliver high-impact solutions.

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