Group Treasury Junior Liquidity Manager

  • Competitive
  • Bruxelles, Bruxelles-Capitale, Belgique
  • CDI, Plein-temps
  • ING
  • 20 mars 19

Group Treasury Junior Liquidity Manager

Group Treasury
Junior Liquidity Manager

Your role & work environment

ING Group Treasury Liquidity Management (GT LM) is looking to hire a Junior Liquidity Manager who will be based in the trading room of ING Belgium, Brussels. As LM you will be expected to manage the Intraday and short-term liquidity for ING Belgium.
You will be part of the GT team based in Brussels. You will closely co-operate with other GT desks (locally/globally) and the different ING business lines to stay aligned with the objectives of ING. You will be in continuous contact with Risk and Finance for oversight and control.
Your key responsibilities
As LM, you will be responsible of the funding of the cash positions on ING BE Nostro accounts in a wide range of currencies. You will therefore actively monitor the market opportunities and constraints to deal the required financial product (Loans/Deposits, FX Swaps, Repo).
Also, you will ensure the tactical usage of the Bank Collateral Portfolio (Fixed Income Securities) in line with the regulatory and commercial requirements.
Our execution mandate will require you to be up to date on financial market news, regulatory constraints and ING internal processes. You will create solid relationships with the Financial Industry, the Regulator (NBB) and internal stakeholders in order to ensure operational excellence and access to the markets.
A non-negligible part of the job consists of operational management and reporting of both cash and collateral positions to manage the Bank Short Term liquidity. As such you will have to find your way through the maze of books and systems that are setup for this and build a solid understanding of it.
You will be involved in projects related to GT strategy, but also act as a supporting stakeholder to other Business Line's projects that have an impact on cash positions.
We look for
A colleague with a talent for taking it on and making it happen, enthusiasm for helping others to be successful and a knack for always being a step ahead. In other words, you strive to bring fresh ideas to life and embrace challenges in a fast changing and complex environment. You are a naturally collaborative person who listens and invests in others to achieve common goals. You love to challenge the status quo and are eager to propose creative solutions to problems.
As a Junior Liquidity Manager you will also need:

  • Education such as an engineer, econometrics or economics could be an advantage.
  • Knowledge or interest in Financial Markets / Liquidity Management is required.
  • Excel knowledge is necessary.
  • Knowledge of Front Office Systems (Kondor, Summit, Murex, Sophis, ...) and Financial Information Systems (Bloomberg, Reuters, ...) is a plus, but not a pre-requisite.
  • Strong communication skill in English is requested
  • Very keen to learn and develop in a continuously and rapidly changing environment
  • Able to cope with stress and large workload
  • Able to quickly react and adapt to new info
  • Strong problem solving skills to decide and prioritize adequately.

We offer you
A clear purpose, a unique offer and a range of flexible compensation and other benefits:
  • Personal growth & challenging work with endless opportunities to realise your ambitions
  • An informal, dynamic environment with innovative colleagues supporting your endeavours
  • A progressive and agile way of working, where new ideas are valued ahead of convention
  • Full time position (37h/week)
  • Function class : H
  • Work location, Brussels
Furthermore, within the Group Treasury department, you can count on a range of opportunities to invest in your personal and professional growth.