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Manage one of the largest balance sheets in the world
Members of the Treasury and Chief Investment Office (CIO) are uniquely positioned to influence the operations of the entire firm by managing its aggregate market exposure, deploying its capital, and designing and executing its liquidity and funding strategies.
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At the center of activity
We partner with each of the firm's four core businesses, offering a unique perspective on how a global bank functions.
Challenging and complex work
Active in the global financial markets in over 10 countries, we manage $2.4T in assets and liabilities across our operating businesses.
Our collaborative culture
We are a flat, team-based organization where you can have an impact at any level.
Who we are
We oversee a global investment portfolio used to manage the firm’s interest rate and currency exposure. We are responsible for developing and executing the firm’s capital, balance sheet, liquidity and funding strategy.
What you can do
You will have the opportunity to work with our global businesses in a variety of roles – from portfolio management and strategy to risk, finance and operations. Our dedicated teams are structured to support key business activities.
Strategically invests the firm’s excess cash in a wide range of fixed income products, including corporate bonds, asset- and mortgage-backed securities, municipal bonds, and government securities.
Manages the implementation of the firm’s funding plan, including multiple forms of long-term debt issuance in all major currencies, as well as short-term cash deployment.
Manages the firm’s overall liquidity, conducts balance sheet strategy and analysis and supports the firm’s transfer pricing framework.
Delivers best-in-class strategy and quantitative models for asset-liability management.
Helps the firm’s asset and liability management function understand, mitigate and manage risks, shape decisions, influence models and work with regulators.
Performs financial analysis and provides strategic support to the investment process as well as safeguards the integrity of financial data and financial statements.
Provides support and control for production of risk information, aggregation of firmwide data, timely processing of transaction lifecycle events, scenario analysis as well as completeness and quality of reporting to management and risk functions.
Opportunities in Treasury & CIO
Where we work
Explore our featured locations around the world.