Job offer
Treasury Specialist (f/m)
The position of Treasury Specialist (f/m) at BKB includes the management of interest rate and liquidity risk management, reporting and analysis as well as operational cash management. The position offers an open and diverse working environment, interesting development opportunities and flexible working conditions.
Your new job
- Optimal operational and strategic control of interest rate and liquidity risk management in the BKB Group
- Present reporting, analysis and market information to the Asset & Liability Committee
- Operate funds transfer prices close to the market and manage the ALM key figures
- Ensure operational cash management of Bank Cler including maintaining the network with internal and external stakeholders
- Leading smaller projects in connection with Treasury & Cash Management
We benefit from this
- Open-minded personality who likes to contribute ideas and proactively drives issues forward
- Several years of professional experience in banking in the areas of finance, risk or
How you profile
- Open-minded personality who likes to contribute ideas and proactively drives issues forward
- Several years of professional experience in banking in the areas of finance, risk or
Requirements
- Open personality who likes to contribute ideas and proactively drive issues forward
- Several years of professional experience in banking in the areas of finance, risk
Benefits
- In addition to a bank with a long tradition, find other exciting ways to help shape the Group at our young, bold subsidiary Bank Cler
- Responsible tasks in the Group's balance sheet structure management
- Interesting development opportunities and we are on hand with help and advice
- Flexible working hours with flexitime and the option to work from home
- German fluent, English C1, French or Italian an advantage
Job details