Analyst, Treasury Middle Office
On-siteAmsterdam, North Holland, The Netherlands
Job Summary
Prepare high-quality credit and market risk reports for internal and external stakeholders, including regulators. Analyze large data sets to produce clear reports on risk exposures and control performance. Support business units with expert advice on identifying, measuring, and managing market and liquidity risks. Ensure accurate valuation methods are applied and reconciled with the general ledger while strengthening governance and control environments. Monitor observance of limits and escalate potential risk events or regulatory breaches. Contribute to the digitization of reporting processes and cooperate with Compliance on country-specific legal requirements. This role sits within the Treasury Middle Office team at Mitsubishi UFJ Financial Group in Amsterdam, supporting the bank's global risk management framework.
Required Qualifications
- Degree in Finance
- Knowledge of financial instruments
- 3+ years' experience in related Finance and/or Risk roles
- Strong Analytical skills
- Knowledge of Excel
- Knowledge of VBA
- Willingness to relocate to the Netherlands
Desired Qualifications
- Knowledge of Python
- Knowledge of Power BI
- Integrity
- Responsibility
- Balance Risk with Opportunity
- Customer Focus
- Global Perspective
- Professionalism
- Teamwork
- Drive For Results
- Collaborate and Build Partnerships
- Communicate Effectively and Professionally
- Challenge Ourselves To Grow Influence and Inspire Others
- Lead Change & Seek Continuous Improvement
- Think Strategically
- Manage and Develop Talent
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