 | Managing Microsoft's Assets The mission of Treasury is to ensure the value of Microsoft global financial and physical assets, provide capital, and optimize risk/return. We manage Microsoft's diversified portfolio of assets and oversee foreign exchange, corporate finance, risk management, and more.
Part of what makes Treasury at Microsoft unique is sheer scale: our peers are not necessarily the treasury departments of other companies, but major money-management firms dealing with assets on a global scale.
We look for people of extremely high integrity who are willing to continually challenge the status quo. In Treasury, the smart voice will carry the day. At the same time, our goal is zero surprises while managing economic returns within a risk-adjusted band.
Do not apply if you are looking for the comfort of "This is what you will be doing for the next 10 years." We need dynamic individuals who can multitask in a fast-paced environment and switch gears when circumstances dictate.
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A few job titles found here:Cash Analyst Is responsible within specific regions for the strategic analysis of cash-flow needs and uses by Microsoft subsidiaries and affiliated companies; also designs and drives new cash-management processes or process enhancements for specified regions. Portfolio Manager Makes daily decisions regarding the investments in the Mortgage-Backed Securities and Municipal Bond portfolios with maturity from two to 30 years, based upon investment guidelines, interest-rate projections, and value relationships.
Associate Risk Analyst
Identifies, assesses, and mitigates risks in a rapidly evolving environment, balancing potential losses against gains; also provides optimal risk financing and services designed to protect Microsoft assets and operations.
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