Our customer plays an important part in the financial system of Suriname. As the largest commercial bank with an extensive network of branches, they offer a broad package of services to both businesses and individuals. With the personal approach and involvement, the bank can provide adequate service to our customers. The professional staff, who feel very strongly about integrity and respect, are the most important success factor in all this.
Job description
The consultant will have contact with the Treasurer on a daily basis (Skype) but will also have to analyse and advise on reports from the bank. This role will bring you a variety of tasks and responsibilities. You provide customized advice, follow up on questions from the bank and provide support in the discussions with stakeholders.
The bank is looking for a consultant who is able to support/advise the current Treasurer for approximately 3 months for the following tasks/skills (Essential (E) or Desirable (D):
- Asset Liability Management knowledge and experience (E)
- ALCO reporting (E)
- Experience with Foreign Exchange (E)
- Hedging of currency/interest exposure (E)
- Budget modelling (E)
- Knowledge of the Financial markets (D)
- Helping to shape up existing organization and systems(D)
- Affinity with accountancy (D)
- Building stress test models (E)
- Risk management (E)
- Cash Management (E)
- Solvency risk (E)
- Credit Risk (E)
- Liquidity risk (E)
- Cashflow forecasting (E)
- Identify the financial risks of the organization and advice how to measure and manage these risks (E)
- Translate (new) rules and regulations into business processes (D)
- Identify business opportunities for the bank (D)
- Contribute to the coaching and mentoring of less experienced colleagues (D)
Profile
- BSc or MSc degree in Finance, Economics or equivalent
- At least 5 years or plus experience, preferable within the banking industry
- Good personal organizational skills including deadline and other time/task management
- Strong analytical and problem solving skills
- A passion for content and problem solving
- Professional experience within a treasury department
[ninja_form id=12]
Job Features
Position | Interim Bancaire Treasury Consultant |
Education | MSc |
Work experience | > 5 years |
Location | The Netherlands |
Salary | TBD |
Employment | TBD |
Hours per week | minimum of 16 hrs |
Reference number & Position | TRV087 Interim Bancaire Treasury Consultant |
Onze opdrachtgever is een Europese financiële dienstverlener gespecialiseerd in de bemiddeling van financiële- en duurzaamheidsinstrumenten voor het zakelijk segment. Met kantoren in 4 landen biedt onze opdrachtgever voice- en hybride Brokerage, elektronische handel en voert zij orders uit. Onze missie is om financiële instellingen, bedrijven en (semi-) overheidsinstellingen te faciliteren in de volledige transactiecyclus.
Het bedrijf geeft je de mogelijkheid om onderdeel te worden van een jong, ambitieus team in een snelgroeiend bedrijf. Je nieuwsgierigheid in (de handel achter) de financiële wereld wordt zeker gestild.
- Een veelzijdige functie in een snelgroeiende organisatie
- Marktconforme beloning
- Uitgebreide keuze in trainingsmogelijkheden
- Het bedrijf is gevestigd op de traditionele beursvloer van de Amsterdamse effectenbeurs, midden in het hart van Amsterdam. Zoals je zult merken een zeer internationale en professionele werkomgeving waar er een sterke focus ligt op professionele en persoonlijke ontwikkeling
De afdeling Operations zoekt een (Senior) Mid Office Analyst. De Backoffice is de centrale schakel tussen klanten en handelaren enerzijds en externe (banken, registers) en interne (compliance, accounting) partijen anderzijds.
De hoofdverantwoordelijkheid van de afdeling is het faciliteren van een optimaal transactieproces. Hierbij kan je denken aan het opstarten, monitoren en afhandelen van het overkoepelende Know Your Client Process, invoeren en afwikkelen van cliëntinstructies en opstellen van dagelijkse P&L rapporten voor de handelaren.
Additioneel, kom je te werken in een zeer ervaren backoffice team, dat tevens een belangrijke rol heeft in het optimaliseren van het dagelijkse operationele proces. Als nieuwe collega zal de nadruk van jouw werkzaamheden in eerste instantie komen te liggen op de Money Markets en Derivaten afdeling. Tevens ben je een belangrijk aanspreekpunt voor onze Compliance afdeling, waarmee je gezamenlijk nieuwe prospects doorgrondt, identificeert en screent.D
Functieomschrijving
- Administreren, monitoren en reconciliëren derivaten- en money market deals
- Invoeren, monitoren en najagen (overdue) trades overige instrumenten (secundair)
- Identificeren en gezamenlijk met IT invoeren van procesverbeteringen
- Centrale contractpersoon voor alle transactie gerelateerde verzoeken
- Opstarten en monitoren KYC proces
Profiel
- HBO (commerciële) Economie, MER, etc.
- 2-4+ jaar werkervaring, affiniteit met beleggen, financiële wereld
- Sterk cijfermatig inzicht en analytisch vermogen
- Teamplayer die individueel ook zijn/haar mannetje staat
- Uitstekende beheersing Engels in taal en geschrift
- Stressbestendige persoonlijkheid
[ninja_form id=12]
Job Features
Position | (Senior) Mid Office Analyst |
Education | BSc |
Work experience | 2-4 + |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 32 - 40 |
Reference number & Position | TRV088 (Senior) Midoffice Analyst |
Onze klant is een Europese financiële dienstverlener gespecialiseerd in de bemiddeling van financiële- en duurzaamheidsinstrumenten voor het zakelijk segment.
Met kantoren in 4 landen biedt men voice- en hybride Brokerage, elektronische handel en voert zij orders uit. Onze missie is om financiële instellingen, bedrijven en (semi-) overheidsinstellingen te faciliteren in de volledige transactiecyclus.
De afdeling
De afdeling Operations/Backoffice is de centrale schakel tussen klanten en handelaren enerzijds en externe (banken, registers) en interne (compliance, accounting) partijen anderzijds. De hoofdverantwoordelijkheid van de afdeling is het faciliteren van een optimaal transactieproces
Ter versterking van de afdeling zoeken wij een Junior CDD Officer Backoffice.Hierbij kan je denken aan het opstarten, monitoren en afhandelen van het overkoepelende KYC/CDD Process. Tevens ben je een belangrijk aanspreekpunt voor onze Compliance afdeling, waarmee je gezamenlijk nieuwe prospects doorgrondt, identificeert en screent.
Additioneel, kom je te werken in een zeer ervaren backoffice team, dat tevens een belangrijke rol heeft in het optimaliseren van het dagelijkse operationele proces. Als nieuwe collega zal de nadruk van jouw werkzaamheden in eerste instantie komen te liggen op de Money Markets en Derivaten afdeling. Het invoeren en afwikkelen van cliëntinstructies en opstellen van dagelijkse P&L rapporten voor de handelaren.
Je krijgt de mogelijkheid om onderdeel te worden van een ambitieus team in een snelgroeiend bedrijf. Je nieuwsgierigheid in (de handel achter) de financiële wereld wordt zeker gestild. Onze klant is gevestigd op de traditionele beursvloer van de Amsterdamse effectenbeurs, midden in het hart van Amsterdam. Zoals je zult merken een zeer internationale en professionele werkomgeving waar er een sterke focus ligt op professionele en persoonlijke ontwikkeling.
Functiebeschrijving
- Opstarten en monitoren CDD/KYC proces
- Administreren, monitoren en reconciliëren derivaten- en money market deals
- Invoeren, monitoren en najagen (overdue) trades overige instrumenten (secundair)
- Identificeren en gezamenlijk met IT invoeren van procesverbeteringen
- Centrale contractpersoon voor alle transactie gerelateerde verzoeken
Profiel
- HBO (commerciële) Economie, MER, etc.
- 0-3 jaar werkervaring, affiniteit met beleggen, financiële wereld
- Sterk cijfermatig inzicht en analytisch vermogen
- Teamplayer die individueel ook zijn/haar mannetje staat
- Uitstekende beheersing Engels in taal en geschrift
- Stressbestendige persoonlijkheid
- AML, CDD en KYC zijn geen onbekende termen voor je
- Een veelzijdige functie in een snelgroeiende organisatie;
- Marktconforme beloning;
- Uitgebreide keuze in trainingsmogelijkheden;
[ninja_form id=12]
Job Features
Position | Junior CDD Officer Backoffice |
Education | BSc |
Work experience | 0-3 years |
Location | Amsterdam |
Salary | nader te bepalen |
Employment | nader te bepalen |
Hours per week | 40 |
Reference number & Position | TRV081 Junior CDD Officer Backoffice |
Our customer is a European financial service provider with over 100 employees, primarily operating as a multi-channel intermediary in the wholesale Financial- and Renewable Energy sector. With offices in Amsterdam, Frankfurt, London and Zürich, they offer mediation in a range of fixed income, interest rates, environmental energy, equity and equity derivatives products. Our customer also offers a variety of market information, data services and dedicated research. Voice- and hybrid brokering-, voice- and electronic execution, electronic venue exploitation and transaction advice services are provided to financial institutions, small and medium-sized business, corporate clients and (semi) government bodies.
Description department Execution services
As an established broker for many years they are active in the execution of different assets such as bonds, equity and equity derivatives. Till recently this execution was carried out on the different departments categorized by asset. Because of the complex infrastructure, the increasing regulatory demand such as Mifid II reporting, and the different client focus they decided to create a new desk solely dedicated to the execution of the different asset classes.
The specific handling of the execution on the different venues and exchanges will be carried out by the Equity & Derivatives team. The voice execution of bonds will be carried out by the Fixed Income team. The Execution Services Desk will be responsible for the marketing, acquisition of new clients, account management, front office maintenance of the infrastructure, the sale of the ancillary services such as a Mifid II reporting and the overall coordination of the execution.
The Equity & Derivatives department with 15 FTE is responsible for all Equity and Equity related instruments and services for professional clients. Services are provided on volatility related products, Delta1 and Exotics on all major US and European exchanges and OTC.
Position
As a manager Execution services you will be responsible for all mentioned specific activities supported by the different relevant departments. Especially acquisition and sales are an important part of the job. As manager you will report to the head of Equity and Derivatives and directly to the CEO of the Group.
Required background and knowledge
- Proven experience within Financial markets
- Proven experience in sales and acquisition
- Preferably a relevant network in the Benelux and/or the German speaking area and/or the Nordics
- Minimum bachelor’s degree or similar level
- Excellent communication and analytical skills combined with a team-player mentality.
- Entrepreneurial, ambitious and commercial mind-set
- Fluency in verbal and written English
What we offer
You have the opportunity to join a company which is highly ambitious, growing
fast and young at heart. Our customer provides a fast paced, professional and
international working environment, with a strong focus on personal development.
Internal training as well as external courses are part of what they offer you
in order to unlock your full potential. In addition to that, they offer
competitive remuneration and benefits including profit sharing possibilities.
HQ is located in the heart of Amsterdam, on the old trading floor of the stock
exchange at Beursplein 5.
[ninja_form id=12]
Job Features
Position | Manager Execution Services Desk |
Education | BSc |
Work experience | >4 years |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 40 |
Reference number & Position | TRV086 Manager Execution Services Desk |
The company is seeking to hire a medior Foreign Exchange Market Analyst, for ultimate placement in the Amsterdam office. Full training will be provided in sell-side FX analysis and market commentary. Direct experience with financial markets is a bonus but fresh graduates with a strong background in economics are equally welcome to apply.
The successful candidate will have an enthusiasm for financial markets, strong quantitative and macroeconomic skills, and exceptional communication skills. A postgraduate degree in economics, econometrics, or finance is desirable.
Familiarity with macroeconomic forecasting, especially time series econometrics is desirable. Comprehensive media training will be provided with the intention of creating a long-term resident economic and financial market expert for the Netherlands.
During the training period the objective will be to become familiar with foreign exchange and global markets and economics in general, and be taught how to formulate engaging opinions and research for media and the wider public. Media training, interview techniques, training in writing interesting and well supported opinion pieces for general consumption.
Job description:
- Analysis of foreign exchange markets and global macroeconomics, providing support for front office and clients, and newsworthy commentary for Dutch and other European media
- Providing analysis of foreign exchange markets for Monex front office, for clients, and for media
- Regular reactive analysis of events such as data releases, central banks
- Keeping the front office informed through participation in team meetings and calls
- Providing bespoke analysis on themes and topics as directed by Head of Market Analysis
- Contributing to ongoing long form research and forecasting by the analysis team
- Building macroeconomic and econometric models for understanding developments in relevant economies and financial markets
- Developing strong opinions on current and future developments in FX, central banks, economics, supported by evidence
- Develop, with support and training, knowledge and confidence as a market analyst capable of providing commentary for media and clients
Profile:
- BSc or MSc degree in Finance, Economics or equivalent
- Enthusiasm for and interest in FX markets
- Passion for economic, political, and monetary policy analysis
- Econometric modelling, especially time series econometrics (desired)
- Professional Dutch and English, French and German is an advantage
- Outstanding written and verbal communication skills
- Good personal organizational skills including deadline and other time/task management
- Public speaking skills
- Ability to work to close deadlines from Media and other departments
Key interfaces:
- Head of Market Analysis, Sales, Dealers, board of directors, other members of the analysis team
- Dutch communications agency and Dutch media, after training
[ninja_form id=12]
Job Features
Position | Foreign Exchange Market Analyst |
Education | BSc/MSc |
Work experience | 3-5 years |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 40 |
Reference number & Position | TRV084 Foreign Exchange Market Analyst |
The European Football for Development Network is seeking to appoint a new treasurer to ensure that the network has the capacity and skills to oversee the next phase of its work. The treasurer is expected to play a central role in guiding strategies to drive the vision of EFDN and its members forward. Therefore, it is of high relevance that the new board member is passionate about the mission and vision of the Network and European Football.
The new board member will be recruited for a period up to three years. The role will require a part-time commitment of 5 to 8 hours per month. He or she will not be remunerated and is not covered by employee insurance. Travel and accommodation to official EFDN events will be covered by EFDN.
The board member is responsible for most tasks mentioned below in the job description. This does not mean that he/she needs to perform these tasks by him or herself. These tasks can also be carried out individually or in a group/Commission or by other board members or volunteers. The board member must coordinate these activities and stays responsible for the result of the activities.
Job description
- Is responsible for monitoring the financial administration of the foundation
- Ensures a sound financial management/budget monitoring of grants, funds and donations
- Provides an annual budget (in cooperation with the CEO)
- Is responsible for monitoring the collection of annual membership fees of member clubs
- Is responsible for monitoring the finances and manages bank accounts.
- Is responsible for monitoring payments and the cash and the bank journal.
- Monitors the annual financial reports and the budget of foundation plans.
- Is (partly) responsible for applying for grants/contacts with funding bodies
- Is responsible for monitoring the financial policy on sponsorship
- Is responsible for the processing of declarations
- Is responsible for the monitoring the financial administration (budget, annual reports and sets declaration guidelines) and cooperates with external auditors
- Is (partly) responsible for the content and organisation of international meetings
- Is (partly) responsible for developing quality criteria from the Board
Profile
- Has knowledge and experience with financial management
- Has financial insight
- Budget management
- Can judge proposals on financial viability
- Can explain financial issues
- Can create and monitor budget plans, the financial aspects of annual plan and long term plans
- Able to work with financial programs
- Can explain the vision and mission of the foundation
- Can translate the foundations policy to foundation activities
- Monitor and control the progress of the activities can
- Advanced knowledge of the English language
- Likes to work together with others
- Knowledge of the community and the field in which the Foundation operates
- Commitment to organization’s mission and strategic directions
- Availability of sufficient time to devote to board duties
- Willingness to learn
[ninja_form id=12]
Job Features
Position | Treasurer/Board Member |
Education | BSc/MSc |
Work experience | TBD |
Location | TBD |
Salary | no renumeration |
Employment | TBD |
Hours per week | approximately 2 hrs |
Reference number & Position | TRV083 Treasurer/Board Member |
Our Client is an independent European multi-asset class broker, primarily operating as an intermediary for Financial Institutions, Corporate Clients and (semi) Government bodies. With offices in Amsterdam, London, Zurich and Frankfurt, they offer a range of Fixed Income, Interest Rates, Energy / Environmental, Exotics, Equity and Equity derivatives products. Our client also offers a variety of market information, data services and dedicated research. The company has 100 employees.
The Interest Rate Department consists of a highly experienced team of 30 men and women with a unique mix of banking, corporate and government clients all over Europe, Middle East and Asia. They are active in the following products:
- Public Debt
- Interbank and Non-banking Deposits
- Certificates of Deposits (CD) & Commercial Paper (CP)
- Repurchase Agreements (Repo)
- Arbitrage
- Foreign Exchange (mainly FX-Swaps)
- Interest Rate Derivatives (IRS, FRA, OIS, Basis)
- Treasury Bills
- Medium Term Notes
- Private Placements and Structured Loans
- Corporate Finance
To improve the offering to their client base and expand the business further we are looking for junior/medior/senior brokers at the Public Debt desk. At the moment we are mainly looking for candidates which have a German background. Fluency in English is also required.
Responsibilities
- Expand the EU public debt client base with new clients, both lenders and borrowers
- Identify clients’ needs and pro-actively act to achieve best-in-market customer satisfaction
- Actively look for new and cross-selling opportunities within the Group departments
Competencies and qualifications
- Minimum Bachelor degree or similar level
- A pro-active, entrepreneurial spirit that enables you to develop business in new directions
- A creative team player with excellent social, sales and communication skills
- Accurate, excellent numerical and analytical skills
- Next to German, fluency in English is required and Dutch is an advantage
- A few years of experience in the public debt market or the eagerness to discover this product
- Familiar with setting and reaching team targets, works well under pressure
- The ambition to grow on a personal level and move up the ladder
What they offer
You have the opportunity to join a company which is highly ambitious, growing fast and young at heart. The company provides a fast paced, professional and international working environment, with a strong focus on personal development. Internal training as well as external courses are part of what they offer you in order to unlock your full potential. In addition to that, they offer competitive remuneration and benefits including profit sharing possibilities.
The company is located in the heart of Amsterdam, on the old trading floor of the stock exchange at Beursplein 5.
[ninja_form id=12]
Job Features
Position | Junior/Medior/Senior (Semi) Public Debt Department Broker |
Education | BSc |
Work experience | > 2 years |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 32 - 40 |
Reference number & Position | TRV080 Junior/Medior/Senior (Semi) Public Debt Department Broker |
Our client is an independent European multi-asset class broker, primarily operating as an intermediary for Financial Institutions, Corporate Clients and (semi) Government bodies. With offices in Amsterdam, London, Zurich and Frankfurt, they offer a range of Fixed Income, Interest Rates, Energy / Environmental, Exotics, Equity and Equity derivatives products. They also offer a variety of market information, data services and dedicated research. The company has 100 employees.
The Interest Rate department consists of a highly experienced team of 30 men and women with a unique mix of banking, corporate and government clients all over Europe, Middle East and Asia. The desk is active in the following products:
- Public Debt
- Interbank and Non-banking Deposits
- Certificates of Deposits (CD) & Commercial Paper (CP)
- Repurchase Agreements (Repo)
- Arbitrage
- Foreign Exchange (mainly FX-Swaps)
- Interest Rate Derivatives (IRS, FRA, OIS, Basis)
- Treasury Bills
- Medium Term Notes
- Private Placements and Structured Loans
- Corporate Finance
To improve the offering to their client base and expand the business further we are looking for junior/medior/senior brokers at the Public Debt desk. At the moment we are mainly looking for candidates which have a Belgian and/or French background. Next to English, fluency in Dutch and French is required.
Responsibilities
- Expand the EU public debt client base with new clients, both lenders and borrowers
- Identify clients’ needs and pro-actively act to achieve best-in-market customer satisfaction
- Actively look for new and cross-selling opportunities within the Group departments
Competencies and qualifications
- Minimum Bachelor degree or similar level
- A pro-active, entrepreneurial spirit that enables you to develop business in new directions
- A creative team player with excellent social, sales and communication skills
- Accurate, excellent numerical and analytical skills
- Next to English, fluency in Dutch and French is an advantage
- A few years of experience in the public debt market or the eagerness to discover this product
- Familiar with setting and reaching team targets, works well under pressure
- The ambition to grow on a personal level and move up the ladder
What we offer
You have the opportunity to join a company which is highly ambitious, growing fast and young at heart. They provide a fast paced, professional and international working environment, with a strong focus on personal development. Internal training as well as external courses are part of what they offer you in order to unlock your full potential. In addition to that, they offer competitive remuneration and benefits including profit sharing possibilities.
The company is located in the heart of Amsterdam, on the old trading floor of the stock exchange at Beursplein 5.
[ninja_form id=12]
Job Features
Position | (Semi) Public Debt Department Broker (NL/B/FR) |
Education | BSc |
Work experience | > 2 years |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 32 - 40 |
Reference number & Position | TRV079 Junior/Medior/Senior (Semi) Public Debt Department Broker |
Our customer is a world-leading synthetic rubber company, with about 3,800 employees and a presence at 20 production sites in 9 countries. Headquartered in Maastricht, The Netherlands, the core business is the development, manufacturing and marketing of synthetic high-performance rubber for use in the automotive and tire industries, the construction industry, and the oil and gas industries.
Your Challenge
- Responsible for financial Risk- and Cash management of the group worldwide
- Lead a small team of treasury front office specialists at the headquarter
- Ensure existing processes and activities fit to the operational needs
- Helping to shape up existing organization, systems and roles
- Manage Relationship to Banks
- Support the Head of Treasury in handling of credit facilities for the company on group level
- Support and guide group companies in financial risk management activities
- Leveraging the Treasury organization in representation of Subsidiary Finance tasks
- Work collaboratively with business units, group functions and affiliate finance teams within the company
- Build up an organization which is highly compliant in processes, guidelines, systems and responsibilities when it comes to fraud prevention and state of the art internal controls
Your Profile
- Master degree in finance or business administration
- Minimum 3-5 years of professional experience in the treasury department of a multinational company
- Expert knowledge in financial risk management for multinational corporations
- Practical know-how in foreign exchange and money market trading
- Experience in leading a small team of experts
- Capability to work in a multicultural and multi-disciplinary global business environment
- Collaborative and communicative personality
- Strong analytical and problem solving skills
- Fluency in English; German knowledge of advantage
The Offer
Our customer offers an exciting, challenging position with highly international work in a dynamic environment. This is a unique chance to be part of the group and will suit individuals who seek to thrive in a challenging, opportunistic and high-energy environment.
[ninja_form id=12]
Job Features
Position | Head of Risk & Cash Management |
Education | MSc Finance or Business Administration |
Work experience | a minimum of 3 to 5 years |
Location | Maastricht |
Salary | TBD |
Employment | TBD |
Hours per week | 40 |
Reference number & Position | TRV078 Head of Risk & Cash Management |
Are you an analytical strong financial professional with experience in the field of strategy consulting, private equity or M & A Corporate Finance and are you ready for a new challenge?
The company is a leading independent financial intermediary in Europe with excellent access to the capital market and connects more than two thousand financial institutions, business customers and government agencies. Offices in Amsterdam, London, Zurich and Frankfurt and active in the field of:
Corporate Finance, Market analyzes and data services, Renewable Energy, Transaction / Brokerage services among others:
Fixed Income
Interest Rates
Equity and equity derivatives
Exotic financial products
Environmental commodities
Job description:
- As a Corporate Finance Associate you guide transactions as an independent expert and carry out (strategic) valuation issues for a wide range of parties
- In Corporate Finance you are the specialist for the clients
- Guide and advise the clients at all stages of a merger, sale or purchase processes
- Supporting customers identifying prospective candidates for acquisition in the (international) market
- Help and support the client in business valuations, strategic reorientations and divestments of business units
Profile
- MSc education
- Analytically strong and enterprising colleague
- At least 3 to 8 years relevant work experience in the field of strategy consulting, private equity or M & A Corporate Finance
- A team player who can work well under pressure
- An independent, enthusiastic and flexible way of working
- Excellent analytical and communication skills
- Enterprising, ambitious and commercial
- Fluent English, both orally and in writing
[ninja_form id=12]
Job Features
Position | Corporate Finance Associate |
Education | MSc |
Work experience | 3 - 8 years |
Location | Amsterdam |
Salary | TBD |
Employment | TBD |
Hours per week | 40 |
Reference number & Position | TRV068 Corporate Finance Associate |