Senior Treasury Officer
            
            Job Description
            We have a great opportunity for a treasury professional experienced in sales or trading activity to join our client’s thriving corporate bank as a key member of the Treasury team.  
You’ll work in a small and international team, reporting to the Treasury Manager and Deputy, working together to manage cash, liquidity, and ALM /asset liability management, supporting FX sales and loan financing activity.  The client has a strong collegiate atmosphere, where your prior experience of corporate and institutional clients will be appreciated.
In this role, you will: 
•	Assist in managing cash flow, perform funding, and manage and monitor liquidity ratios in accordance with limits
•	Support ALM and hedging strategies
•	Monitor 
•	Keep abreast of financial markets, placing liquidities in the money markets and investing in capital markets
•	Contribute to the maintenance and improvement of processes, service quality, and product offering
•	Work on strategies for refinancing
•	Ensure compliance with internal policies
•	Maintain excellent relationships with third parties
            
            Candidate Requirements
            To be considered for the role, you will have:
•	About 5 years’ prior experience in financial markets (ideally sales and FX trading), with at least 1 of those years spent in Luxembourg
•	Degree or Master’s in Finance, Banking or Business Administration
•	Knowledge of Kondor+, Excel, POMS/AIM, Eikon, Bloomberg, etc.,
•	Prior experience in a commercial bank dealing with corporate and institutional clients 
•	Being capable, autonomous, proactive
•	You must have excellent English communication skills
•	Capable of performing well under pressure