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The Liquidity Solutions Unit is part of Clearstream banking and designs, executes, and manages cash and FX solutions in more than 40 currencies, focusing on meeting client needs and enhancing financial operations. This role works closely with Cash Operations, Treasury, IT but as well with customer facing teams such as Sales and Relationship Management, providing you with the opportunity to widen your network and make a significant impact on our clients' success.
Your responsiilities:
- Define and Execute Product Strategy: Develop and implement the product strategy roadmap for cash and FX solutions, ensuring alignment with overall business goals.
- Product Development and Enhancement: Continuously enhance and develop innovative cash and FX product solutions to meet market demands and improve customer satisfaction.
- Monitoring and Forecasting: Strengthen the monitoring and forecasting capabilities of product KPIs to ensure optimal performance and strategic decision-making.
- Stakeholder Management: Maintain and manage relationships with internal and external stakeholders, counterparties, and clients to ensure effective collaboration and communication.
- Presentation and Resource Management: Present the product internally and externally, manage resources, and lead teams to achieve product objectives.
- Regulatory Compliance: Ensure regulatory compliance, address audit items promptly, and keep procedures, policies, and customer documentation updated regularly.
- Risk Management: Identify and manage material risks in line with the risk framework, optimizing costs and developing new sources of income.
- Technology and Service Optimization: Review and stabilize the technology landscape in partnership with IT, implement and extend cash management and FX services, and enhance operational efficiency and service delivery.
- Financial Messaging Standards: Drive the transition to new financial messaging standards, such as ISO 20022, to ensure compliance and improve cross-border payment processes.
- University degree with an emphasis in finance.
- 1-3 years of experience in a bank, financial institution, corporate treasury, or comparable experience in consulting of respective function.
- Good understanding of treasury activities.
- Interest in financial markets, financial products, and the regulatory landscape.
- Analytical skills, result orientation, commitment, a high degree of organizational self-reliance, motivation, and accuracy.
- Basic knowledge of Treasury Management systems (e.g., SAP S/4HANA Finance).
- Strong IT skills – programming skills are considered an advantage.
- Efficient team player with good communication skills.
- Competent handling of MS Office.
- Proficiency in written and spoken English; German or French would be an advantage.
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