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ALM Analyst (m/f). Luxemburgo

Empleos en Luxemburgo de Oficiales de préstamos y créditos

Clasificación del trabajo: Técnicos y profesionales de nivel medio › Profesionales de nivel medio en operaciones financieras y administrativas › Profesionales de nivel medio en finanzas y matemáticas › Oficiales de préstamos y créditos.

Traducción de la profesión: Techniker und gleichrangige nichttechnische Berufe › Nicht akademische betriebswirtschaftliche und kaufmännische Fachkräfte und Verwaltungsfachkräfte › Nicht akademische Fachkräfte im Bereich Finanzen und mathematische Verfahren › Kreditsachbearbeiter.

Descripción de la oferta de trabajo:

Description de tâches:

Founded in 1856, Banque Internationale à Luxembourg is the oldest multi-business bank in the Grand Duchy. From its foundation, the BIL has always played an active role in the development of the Luxembourg economy. It currently operates in retail, private and corporate banking, as well as on major capital markets. Employing more than 2 000 people, BIL is present in the financial hotspots that are Luxembourg, Switzerland, and China.

As a major player in Luxembourg's finance industry and as a signatory of the UN Principles of Responsible Banking, BIL is committed to handing over a responsible and sustainable bank to future generations.

We are seeking a skilled Asset & Liability Management (ALM) analyst to join the Balance Sheet Management team (ALM, Treasury, Long-Term Funding, Investment Portfolio & Derivatives desks). The ALM Analyst will play a central role in managing and optimizing our organization's balance sheet by assessing and mitigating risks associated with assets and liabilities. You will collaborate with cross-functional teams, including all Balance Sheet Management desks, Finance, Risk Management and Business Units, to implement ALM strategies and initiatives. This position requires strong analytical skills, attention to detail, and the ability to collaborate effectively with various stakeholders.

Your next challenge:

* ALM analysis and risk assessment: conduct in-depth analysis of the organization's assets and liabilities to identify potential risks, opportunities, and trends. Evaluate interest rate, liquidity, funding, credit spread risk and other financial risks associated with the balance sheet, and develop strategies to mitigate these risks.

* Modeling and forecasting: develop and maintain financial models to forecast cash flows, interest rate scenarios, and balance sheet performance under various market conditions. Support the methodological review of the Fund Transfer Pricing framework, as well as the deployment and maintenance of Fund Transfer Pricing processes. Assisting in annual forecast and budget processes.

* Scenario analysis and stress testing: perform scenario analysis to assess the impact of changes in interest rates, economic conditions, and regulatory requirements on the organization's balance sheet. Design and execute stress tests to evaluate the resilience of the balance sheet and identify potential areas of vulnerability.

* Reporting and presentation: prepare comprehensive reports and presentations to communicate ALM analysis findings, recommendations, and strategies to senior management and key stakeholders.

* Ad-hoc analysis: conduct ad-hoc analysis and special projects as required by senior management and regulatory authorities. Support process improvement initiatives for the Balance Sheet Management Department.

Your skills:

* A master's degree with a focus on finance, economics, mathematics, or related field. Advanced degree (e.g., FRM, CFA) is a plus.

* Proven experience (5 years) in asset and liability management, treasury, risk management, or financial analysis within a financial institution or corporate environment

* Understanding of financial markets, products, and instruments, including fixed income securities and interest rate derivatives

* Fluency in English and French

* Proficiency in financial modeling, quantitative analysis and/or statistical techniques

* Proficiency in financial software and tools such as Bloomberg and/or Moody's Analytics solutions is a plus, but not a pre-requisite

* Familiarity with regulatory requirements and frameworks governing liquidity, IRRBB and market risks

* Positive attitude

* Growth mindset, eager to learn, to develop and to share

* Ability to work independently and collaboratively in a fast-paced, dynamic environment

* Analytical profile, rigorous and well-organized

* Results-oriented striving to deliver on time

BIL offers a broad range of challenging projects and a huge choice of career paths .We will assist you in finding the one that best meets your skills and expectations. Your personal development is our priority and we greatly encourage you to dive into different business areas for the broadest possible experience.

BIL is firmly of the opinion that diversity & inclusion contribute towards increasing the collective performance of the Bank. We are committed to creating a culture of inclusion that encourages individual development with equal opportunities for all.

NB: The selected candidate will be asked to provide an extract from the criminal record (no.3) as evidence of integrity and justified with regard to the specific needs of the position to be filled.

País del trabajo: Luxemburgo.

Número de puestos: 1.

Nivel educativo: Máster o nivel equivalente.

Experiencia: 5 años.

Empleador: Banque Internationale à Luxembourg.

Instrucciones para solicitar:

Vous êtes invité à introduire votre candidature par le site internet : https://www.aplitrak.com/?adid=UmFwaGFlbC45MDkxNS4xMzEzNEBiaWx1eGVtYm91cmcuYXBsaXRyYWsuY29t

Oferta de trabajo obtenida del portal Eures, con fecha 02 de Marzo de 2024, y con identificador de la vacante:PES_LU_716165.

Ver las 44 ofertas de trabajo de Técnicos y profesionales de nivel medio › Profesionales de nivel medio en operaciones financieras y administrativas › Profesionales de nivel medio en finanzas y matemáticas › Oficiales de préstamos y créditos ofertadas.

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