Senior Dealer & Analyst- Group Treasury
On-siteLuxembourg, Luxembourg, Luxembourg
Job Summary
Manage and optimise ING Luxembourg's economic interest rate risk position by linking business flows to balance sheet items and executing hedging actions. Oversee Group Treasury interest rate risk management books, ensuring compliance with mandates and risk appetite while advising stakeholders on net interest margin stabilisation. Execute and monitor financial market transactions, from Nostro cash optimisation to interest rate swaps, and validate risk and P&L reporting with Market Risk Management. Contribute to transformation initiatives including system migrations and Target Operating Model changes, while translating technical IRRBB concepts for business stakeholders.
Required Qualifications
- Master's degree in Finance, Economics, Engineering or a related discipline
- Minimum 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 management tools, balance sheet dynamics and financial accounting treatment
- Excellent command of English, both written and spoken
- French is considered an asset
Desired Qualifications
- Financial Markets certification, such as FRM
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