Corporate Treasury Operations- Clearing - Settlement Operations - Salt Lake - Vice
Listed on 2026-06-22
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Finance & Banking
Risk Manager/Analyst, Corporate Finance -
Management
Risk Manager/Analyst
Corporate Treasury Operations
- Payment Clearing Operations - Dallas Vice President Job Description
Your Impact
At Goldman Sachs, our Operations professionals don’t just manage processes – we make things possible. Within a dynamic, multi‑faceted division we partner with all parts of the firm to provide banking, securities, and asset management services to clients around the world. For every new product launched and every trade executed, Operations develops, manages, and continually improves data, processes, and controls.
Goldman Sachs Operations professionals are innovators and problem‑solvers. We look for creative collaborators who evolve, adapt to change, and thrive in a fast‑paced global environment. Our project management specialists drive change to ensure the highest customer satisfaction while delivering within budget and on time.
These roles offer high‑profile opportunities to drive strategic data‑and‑process based solutions that impact various businesses and entities within the firm. Successful candidates will have the chance to continue building their data‑analytic skillsets as well as broaden their product, market, and regulatory knowledge.
Our Impact
Corporate Treasury Operations is a subdivision of Corporate Treasury. As a global, multi‑faceted and cross‑product division, our primary objectives are to lead the development of new payments‑centric businesses, while building scale and improving agility to adapt to a rapidly changing payment landscape; act as a first line of defense for control and governance to protect the firm’s financial assets; and incorporate differentiated client service to be best in class.
Corporate Treasury Operations is growing globally, with regional presence in Singapore, Tokyo, Bengaluru, Hyderabad, London, Warsaw, Frankfurt, New York, Dallas, Salt Lake City and São Paulo, working closely together as a global team.
The subdivision supports products and businesses ranging across existing and new business lines, multiple payment types, and multiple client types, including franchise/institutional, consumer and corporate cash‑management sectors. We manage a wide range of complex processes, developing skills around cash management (payment controls, bank account management, settlements and reconciliations, claims), change management, regulatory requirements, and industry trends.
How you will fulfill your potential- Lead, mentor and develop a diverse team of professionals responsible for payment clearing, settlements and reconciliations for our Corporate, Retail, and Affiliate client flows. Manage performance and provide opportunities for growth and career progression.
- Gain a solid understanding of various payment rails utilized by the firm – ACH, FEDWIRE, Checks, SWIFT, CHAPS, SEPA, FPS, RTP – and apply this knowledge to lead/innovate in a dynamic banking landscape to optimize payment efficiency and reduce operational risks; measure impact through key metrics such as OKR or KRI.
- Oversee day‑to‑day execution of operational controls performed by the team to ensure timely settlement of payments across different rails, accurate reconciliation of books and records, and prompt resolution of process exceptions; perform business‑as‑usual approvals.
- Contribute to the development of a robust and resilient control framework that allows for effective risk management by applying proactive detection, prevention and mitigation measures for the firm and its clients.
- Collaborate with stakeholders across functions within Corporate Treasury and across divisions such as Legal, Compliance, Product, Engineering, and Operations Horizontal teams to enhance payment infrastructure, integrate new payment technologies, improve efficiency and deliver unparalleled client service.
- Participate in recruitment of top talent to keep the pipeline aligned with the division’s functional and strategic long‑term goals.
- Participate in the firm’s Enterprise Risk Management Framework (ERMF) and in external and internal audits to ensure adherence to payment scheme operating rules and banking regulatory requirements such as Nacha rules, OFAC, AML.
- Manage and monitor key performance indicators related to payment…
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