The Goldman Sachs Group
Liquidity Strategy Analyst: Real-Time Cash & FX
The Goldman Sachs Group, New York, New York, us, 10261
A leading global financial institution located in New York is seeking a professional focused on liquidity management and foreign exchange transactions. Responsibilities include providing cash and collateral projections, analyzing liquidity metrics, and collaborating globally. While preferred experience covers a range of financial operations, attention to detail and strong analytical skills are critical. This role offers the opportunity to contribute to strategic decision-making within a dynamic environment.
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