Corporate Treasury, Liquidity Execution, Analyst, Tokyo
On-site · Tokyo, Tokyo, Japan
Job Summary
Analyst in Goldman Sachs Corporate Treasury, Tokyo. Responsibilities include raising funding for the region, managing the firm's liquidity and capital base, and coordinating secured and unsecured funding programs (e.g., repo funding, structured notes, unsecured bond issuance) in partnership with other divisions. Evaluate the impact of new business initiatives on funding requirements, manage currency funding with currency traders, and contribute to process improvements and infrastructure development. Requires 1–3 years in Treasury/finance, strong analytic and data-management capabilities (Tableau), familiarity with financial reports and liquidity/capital requirements (LCR, NSFR, G-SIB surcharge), and fluency in English and Japanese.
Required Qualifications
- Approximately 1 to 3 years of working experience in Treasury or finance-related functions in a major financial institution or corporate
- Strong analytical and communication skills; ability to work with data and present solutions
- Fluency in English and Japanese; knowledge of currency funding and funding programs a plus
Desired Qualifications
- 1-3 years of experience in Treasury or finance-related functions in a major financial institution or corporate
- excellent analytical and problem-solving skills
- ability to analyze data and present solutions using business intelligence tools such as Tableau
- understanding of financial reports and liquidity/capital requirements (e.g., LCR, NSFR, G-SIB surcharge)
- strong written and oral communication
- strong teamwork and interpersonal skills
- detail-oriented self-starter in a fast-paced environment
- fluency in English and Japanese (Korean a plus)
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