Treasury Middle Office Analyst - Risk & Reporting

MUFG Bank (Europe) N.V.

Amsterdam

On-site

EUR 60,000 - 90,000

Full time

14 days+

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Benefits offered by this job

8% holiday allowance
13th month payment
30 vacation days per year
Commuting allowance
Remote working compensation
Mobile phone
Home office equipment
Bicycle plan
Mental health workshops
Training & development possibilities

Job summary

MUFG Bank (Europe) N.V. in Amsterdam is seeking an Analyst for the Treasury Middle Office to support risk management and reporting across the bank’s treasury function.

You will monitor and report market and liquidity risk, analyze large data sets, and help strengthen governance and controls. The role requires a finance degree and 3+ years in related roles, with Excel, VBA, Python or Power BI skills.

Qualifications

  • Degree in Finance or related field.
  • Strong analytical skills with financial instruments knowledge preferred.
  • 3+ years’ experience in related Finance and/or Risk roles.

Responsibilities

  • Prepare high quality and accurate credit and market risk reports in a timely manner to internal and external stakeholders, including regulators.
  • Prepare management information reports comprising the bank’s risk exposures and control performance.
  • Analyze large data sets to produce clear, concise and meaningful reports for internal and external stakeholders.
  • Provide support, expert advice and guidance to the business units to ensure identification, measurement, assessment and consistent management of market and liquidity risk.
  • Ensure that reporting procedures and individual report manuals are kept up to date and further improved.
  • Ensure that accurate valuation methods are applied and reconciled with the general ledger.
  • Strengthen the governance and control environment on reporting process in line with internal and external control requirements.
  • Contribute to further improvement and digitization of reporting processes, control data for regulatory reporting purposes, and monitor observance of limits.
  • Escalate potential risk events and regulatory breaches in accordance with the bank’s risk governance framework.
  • Cooperate with Compliance regarding country-specific legal and regulatory requirements relating to Market & Liquidity Risk.

Skills

Analytical thinking
Problem solving
Attention to detail

Education

Degree in Finance or related field

Tools

Excel
VBA
Python
Power BI

Job description

MUFG Bank (Europe) N.V. in Amsterdam is seeking an Analyst for the Treasury Middle Office to support risk management and reporting across the bank’s treasury function.

You will monitor and report market and liquidity risk, analyze large data sets, and help strengthen governance and controls. The role requires a finance degree and 3+ years in related roles, with Excel, VBA, Python or Power BI skills.

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