The cash management team is responsible for the daily nostro management of the ING Bank Treasury.
Nostro management entails the daily sweeping of nostro accounts based on forecasted flows, investing the surpluses and funding the deficits in a timely and cost efficient manner. Secondly the job requires an intensive interaction with various stakeholders to ensure a flawless delivery of cash management information to the ING Bank Treasury.
Your work environment
Operations Financial Markets.
Who we are looking for
- Bachelor degree
- A Liquidity Management specialist who likes to work in a complex international
Financial Markets environment with a hands on mentality.
- An enthusiastic member of a team that implement significant change to a treasury
system within ING Bank and been involved in determining business requirements
You are flexible, stress resistant and result oriented
You are self motivated and feel comfortable interacting with all kind of specialists
You have excellent communications skills in English.
Relevant financial markets cash management work experience.