Corporate Treasury - Global Network Management Analyst/Associate - London

Location
London
Hours
Full Time
Salary
Negotiable
About the Role
Corporate Treasury is a team of specialists responsible for managing the firm’s funding, liquidity, capital, and relationships with creditors and regulators. The division manages the firm’s financial resources and minimizes interest expense through liability planning, asset liability management, and liquidity portfolio yield enhancement. This role is ideal for collaborative individuals with strong quantitative analysis skills and risk management capabilities, as Treasury actively manages financial resources that fluctuate due to business activity, markets, risk appetite, regulations, and other factors.
The Analyst/Associate within Global Network Management supports the development and execution of the firm’s global agent bank strategy. The role focuses on maintaining effective bank relationships, delivering commercial outcomes, and ensuring alignment with the firm’s risk, regulatory, and operational frameworks. You will partner with senior relationship managers and cross-functional stakeholders to optimise service delivery, manage risk, and support strategic bank initiatives across regions and products.
Key Responsibilities
1. Relationship & Stakeholder Management
- Maintain effective working relationships with external agent banks and internal stakeholders including Treasury, Legal, Operations, Risk, and Business Units
- Support senior engagement with banks by preparing materials and tracking actions
- Escalate issues clearly and proactively to senior team members
- Represent the firm in routine interactions with bank network stakeholders and industry forums
2. Commercial & Analytical Execution
- Analyse bank fee structures, service levels, and account activity to identify risks and optimisation opportunities
- Interpret data and contribute to recommendations on cost, service, and relationship positioning
- Support negotiations and commercial discussions through data-backed analysis
- Proactively identify anomalies in bank performance or pricing
3. Risk, Control & Regulatory Compliance
- Ensure adherence to internal risk frameworks and external regulatory requirements such as KYC and CASS
- Understand and articulate the risk implications of relationship decisions
- Partner with Risk, Legal, and Audit to support governance and control processes
- Escalate issues appropriately and contribute to remediation actions
4. Business & Strategic Support
- Support evaluation of new markets, products, and bank capabilities
- Contribute to strategic initiatives including RFPs, bank selection, and footprint optimisation
- Assist in preparing materials for senior forums and relationship reviews
- Participate in industry working groups and market infrastructure discussions
5. Operational & Product Coverage
- Develop working knowledge of banking products including custody, cash, payments, and securities services
- Understand trade lifecycle and how bank services support business activity
- Assist in resolving operational issues and improving service delivery across the network
- Coordinate with Operations teams on service performance and issue resolution
Experience
- Strong analytical capability with ability to interpret complex datasets
- Understanding of banking, custody, or treasury functions preferred
- Familiarity with regulatory frameworks such as KYC and client asset rules
- Experience working with external financial institutions or vendors is advantageous
About you
- Effective communication and stakeholder management skills
- Sound judgement balancing cost, risk, and service considerations
- Ability to operate in a fast-paced, global, and cross-functional environment
- Detail-oriented with strong ownership and accountability
- Able to prioritise and adapt in a dynamic environment
- Operates calmly under pressure and demonstrates professional maturity
Qualifications
No specific qualifications are listed; however, relevant experience and skills in banking, treasury, or related fields are preferred.
Goldman Sachs










