Job Duties: Vice President with Goldman Sachs & Co. LLC in Salt Lake City, Utah. Responsible for the operational elements of daily funding for the Firm, supporting and handling risk for foreign exchange (FX) Trading and Sales desks. Oversee performance of key functions related to trading risk management by monitoring and resolving exceptions, trade breaks, and risk through working closely with the Firm's Sales and Trading desks, Technology, Compliance, and other business units globally. Ensure accurate funding of the firm by managing cash balances vs cash obligations, reviewing cash exposures, investigating, and evaluating large value payments/receipts to determine appropriate funding actions and working with Trading and Liquidity to cover needs to ensure the Firm's settlement obligations are fully met. Increase process efficiency and system automation through strategic partnerships with Technology teams to redesign/enhance system infrastructure to bring scale to the team and support firm and industry initiatives. Drive strategic planning for the advancement of the teams including training plans, projects, and daily workflow allocation. Work with Sales and Trading desks to coordinate on trades, technical issues, and ensure all trades and fixes are deployed correctly and efficiently. Drive efficiency initiatives to improve workflows and address any inefficiencies involved in the strategic business planning by identifying forward-looking business opportunities such as adjusting headcount, applying technical enhancements, and planning to handle those needs if left unfulfilled. Work with junior team members to provide career coaching and feedback, and to conduct performance reviews.
Job Requirements: Bachelor's degree (U.S. or foreign equivalent) in Finance, Business, Management, or related field. Seven (7) years of experience in the job offered or in a related role. Prior experience must include seven (7) years of experience in the following: financial derivatives experience in FX to understand products, risks, and trade flow; cash management and accounting to evaluate funding needs and balancing books and records; financial industry electronic confirmation and settlement platforms such as SWIFT, Continuous Linked Settlement, FXAll, Misys, or GTSS; foreign currencies nuances and regulations such as spot convention, offshore and onshore designations; balancing multiple tasks and deliverables in a high-pressure environment and working collaboratively in a team environment; currency futures -- including experience with the various exchanges such as Chicago Mercantile Exchange, MEXDER, and the delivery process; and clearing process for derivative products from clearing, reconciling, and settlement perspective. Prior experience must include two (2) years of experience in the following: guiding, motivating, and supervising junior employees to assist them through their career and ensure daily team tasks are completed; and project management---working on largescale projects that impact the global FX organization, including communicating with stakeholders and working with a global team.
Job Code: 6420154
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