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19 часов назад

Senior Dealer & Analyst (Treasury)

Тип работы
fulltime
Грейд
senior
Английский
c1
Страна
Luxembourg
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Senior Dealer & Analyst (Treasury): Managing and optimizing ING Luxembourg’s economic interest rate risk, balance sheet position, and treasury market transactions with an accent on IRRBB, hedging, liquidity, and risk-aware balance sheet management. Focus on executing interest rate swaps, validating risk and P&L reporting, and contributing to treasury transformation, system migrations, and book integrity.

Location: Luxembourg (Siège Lux House)

Company

hirify.global supports banking operations across financial markets, treasury, risk management, and balance sheet strategy.

What you will do

  • Manage and optimize ING Luxembourg’s economic interest rate risk position and connect business flows with balance sheet items.
  • Oversee interest rate risk management books and keep them within mandate, policy, and risk appetite.
  • Advise business stakeholders and senior management on net interest margin stabilization, balance sheet developments, and interest rate risk.
  • Execute and monitor financial market transactions, including Nostro cash optimization and longer-dated interest rate swaps.
  • Validate and challenge risk and P&L reporting with Market Risk Management, Finance, and Group Treasury Head Office.
  • Support treasury transformation initiatives, system migrations, future book integrity, and communication of treasury architecture and IRRBB concepts.

Requirements

  • Master’s degree in Finance, Economics, Engineering, or a related discipline.
  • At least 10 years of relevant experience in banking, treasury, financial markets, or interest rate risk management.
  • Strong experience with Interest Rate Risk in the Banking Book (IRRBB) and related mechanics.
  • Sound understanding of interest rate risk tools, balance sheet dynamics, and financial accounting treatment.
  • Strong analytical, risk-aware, communication, and stakeholder-management skills.
  • Excellent command of English, written and spoken; proficiency in Excel and professional position-keeping tools.

Nice to have

  • Financial Markets certification, such as FRM.
  • French language skills.

Culture & Benefits

  • Senior Treasury role with direct exposure to business stakeholders, senior management, and Group Treasury experts.
  • Work across financial markets, risk management, balance sheet strategy, and transformation.
  • International and collaborative environment with regular interaction across Luxembourg, Amsterdam, Brussels, Frankfurt, and other locations.
  • Full-time employment in a multicultural banking environment.

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