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Treasury Officer PE/RE

Banking

Luxembourg

Would you like to be part of the evolution of an office located in the heart of downtown? 

Work on a multitude of different projects and collaborate in an international environment. 

This company has operations in several countries and markets. 

They have an excellent reputation and are looking to expand their current staff. 

Are you ready to join a reputable company? 

 

 

Treasury Officer - Tasks:

  • Cash management - management of daily cash flows including cash position, management of bank accounts and periodic reporting

  • Participating in the improvement of the internal processes and controls (Permanent supervision).

  • In-depth banking knowledge: private banking products and services, financial products and processing, money market, Forex and balances sheet management.

  • Monitor and predict daily/monthly/quarterly liquidity ratio including LCR, NSFR and etc

  • You have to participate in Ad hoc projects

 

Treasury Officer - Profile: 

  • At least 2-3 years of experience in Treasury Operations

  • Fluent in English, French is a plus

  • Experienced in financial industry

  • Be a good team-player

 

Treasury Officer - Offer:

  • Tailor-made offer

  • Meal Vouchers

  • Pension Plan 

  • Bonus

  • Located in the City Center 

 

Are you interested in this opportunity?

Send your resume to finance.lux(at)legrand-associates.com and one of our consultants will treat it in all discretion

Are you looking for a different job? Then check out our opportunities at www.legrand-associates.com.

We can also be reached by phone at the following number  +352 208 812 80

We look forward to hearing from you!