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2025 | EMEA | Warsaw | Corporate Treasury | New Analyst

Salary

₹10 - 20 LPA

Min Experience

0 years

Location

Warsaw, Mazowieckie, Poland

JobType

full-time

About the job

Info This job is sourced from a job board

About the role

About the program

Our New Analyst Program is a full-time program for 2025 graduates. As a new analyst, you will learn about our businesses, develop important relationships, and build career-enhancing skills.

As a participant, you will:

  • Learn about the firm and how we do business
  • Gain the skills and knowledge necessary to support our businesses
  • Have unlimited access to the training and guidance to help you prepare for the next level
  • Build your professional network and interact with colleagues across the firm


Submitting Your Application

  • Each applicant has the opportunity to apply to up to 4 separate business / location combinations in any given recruiting year. Any additional application will be auto withdrawn. In order to apply to an additional opportunity, you must withdraw a current application that has not been turned down.
  • A single applicant should not create multiple email addresses to apply to additional opportunities


About the division

Corporate Treasury manages the firm’s liquidity, funding, capital and allocation of financial resources to align with the firm’s overall strategy.

We play a central role in the firm’s overall strategy with responsibility for providing appropriate funding to support all firmwide activity while maximizing net interest income. It allocates financial resources, raises funding and capital to support firm activity, and dynamically manages the firm’s asset liability risk and liquidity portfolio.

Corporate Treasury actively engages in public markets and with businesses across the firm, investors, ratings agencies and regulators. Ideal candidates are collaborative individuals with strong quantitative analysis skills, interest in portfolio management and a risk management mindset.

About the company

Corporate Treasury manages the firm's liquidity, funding, capital and allocation of financial resources to align with the firm's overall strategy.

Skills

quantitative analysis
portfolio management
risk management