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Senior Professional Credit, Treasury & Liquidity Controls(m/w/x)
Description
In this role, you will focus on implementing and monitoring liquidity management controls while ensuring compliance with regulations. Your day-to-day responsibilities will involve conducting stress tests, assessing creditworthiness, and contributing to the development of risk strategies.
Let AI find the perfect jobs for you!
Upload your CV and Nejo AI will find matching job offers for you.
Requirements
- •University degree in Finance, Economics, Mathematics, or comparable qualification
- •Solid experience in liquidity management and treasury processes; knowledge of credit risk is an advantage
- •Familiarity with regulatory requirements (EMIR, KWG, MaRisk, CRR, EBA Guidelines)
- •Strong analytical skills and experience with risk models and reporting tools
- •Ability to manage projects and work independently within a complex environment
- •Fluent in German and English, with strong communication skills
- •Strong organizational skills and ability to prioritize under pressure
- •Confidence to take ideas forward and challenge constructively
- •Effective communication with diverse stakeholders
- •Experience in stock exchange, clearing, or commodity trading is beneficial
Education
Work Experience
approx. 4 - 6 years
Tasks
- •Implement liquidity management controls
- •Monitor compliance with regulatory requirements
- •Conduct liquidity stress tests
- •Support development of liquidity risk strategies
- •Monitor treasury limits
- •Contribute to implementation of the Investment Policy
- •Perform creditworthiness assessments of clearing members
- •Derive limit proposals for counterparties
- •Maintain oversight of existing relationships
- •Contribute to strategic development of risk methodologies
- •Provide assumptions for regulatory capital planning
Languages
German – Business Fluent
English – Business Fluent
Benefits
Flexible Working
- •Flexible hybrid work concept
- •Flexible working hours
Childcare
- •Childcare
Additional Allowances
- •Meal allowance
Public Transport Subsidies
- •Job ticket
Team Events
- •Sports and leisure events
Learning & Development
- •Personal development through training
Mentorship & Coaching
- •Bespoke onboarding plan
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Senior Professional Credit, Treasury & Liquidity Controls(m/w/x)
The AI Job Search Engine
Description
In this role, you will focus on implementing and monitoring liquidity management controls while ensuring compliance with regulations. Your day-to-day responsibilities will involve conducting stress tests, assessing creditworthiness, and contributing to the development of risk strategies.
Let AI find the perfect jobs for you!
Upload your CV and Nejo AI will find matching job offers for you.
Requirements
- •University degree in Finance, Economics, Mathematics, or comparable qualification
- •Solid experience in liquidity management and treasury processes; knowledge of credit risk is an advantage
- •Familiarity with regulatory requirements (EMIR, KWG, MaRisk, CRR, EBA Guidelines)
- •Strong analytical skills and experience with risk models and reporting tools
- •Ability to manage projects and work independently within a complex environment
- •Fluent in German and English, with strong communication skills
- •Strong organizational skills and ability to prioritize under pressure
- •Confidence to take ideas forward and challenge constructively
- •Effective communication with diverse stakeholders
- •Experience in stock exchange, clearing, or commodity trading is beneficial
Education
Work Experience
approx. 4 - 6 years
Tasks
- •Implement liquidity management controls
- •Monitor compliance with regulatory requirements
- •Conduct liquidity stress tests
- •Support development of liquidity risk strategies
- •Monitor treasury limits
- •Contribute to implementation of the Investment Policy
- •Perform creditworthiness assessments of clearing members
- •Derive limit proposals for counterparties
- •Maintain oversight of existing relationships
- •Contribute to strategic development of risk methodologies
- •Provide assumptions for regulatory capital planning
Languages
German – Business Fluent
English – Business Fluent
Benefits
Flexible Working
- •Flexible hybrid work concept
- •Flexible working hours
Childcare
- •Childcare
Additional Allowances
- •Meal allowance
Public Transport Subsidies
- •Job ticket
Team Events
- •Sports and leisure events
Learning & Development
- •Personal development through training
Mentorship & Coaching
- •Bespoke onboarding plan
About the Company
Deutsche Börse
Industry
FinancialServices
Description
The company is a leading clearing house for energy and commodity products in Europe, ensuring secure transaction settlements.
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