We’re flexible! We’re happy to receive applications in English or German.
As a Senior Professional in Credit, Treasury & Liquidity Control, you will play a key role within the Enterprise Risk & Outsourcing Management team. Your primary focus will be on implementing and monitoring robust liquidity management controls as part of the second line of defense, ensuring compliance with regulatory requirements and internal policies. You will conduct liquidity stress tests to assess resilience while supporting the development of liquidity risk strategies and methodologies.
In addition, you will monitor treasury limits, contribute to the implementation of the Investment Policy, and perform regular creditworthiness assessments of clearing members and other counterparties, deriving appropriate limit proposals and maintaining continuous oversight of existing relationships. Beyond operational tasks, you will contribute to the strategic development of risk methodologies and provide assumptions for regulatory capital planning in the areas of liquidity and credit risk.
After all, we value the exchange of ideas, being there for each other and encouraging each other to become better. We call it: The Exchange Mindset.
Veröffentlichungsdatum:
19 Mai 2026Standort:
LeipzigTyp:
VollzeitArbeitsmodell:
Vor OrtKategorie:
Erfahrung:
2+ yearsArbeitsverhältnis:
Angestellt
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