Treasury Pool Manager

il y a 5 heures


Luxembourg Deutsche Bank Temps plein

**Treasury**

Under the leadership of the Treasurer, Treasury is responsible for managing the financial resources of the firm through capital management, liquidity management, asset and liability management, interest rate risk management, funding, and other core treasury activities. Treasury resides within the Group Finance organization led by the Chief Financial Officer.

Key responsibilities for Treasury are to make sure that there is enough liquidity in the bank at any given point in time, that there is capital available when needed and that funds can be raised as and when necessary, all at a reasonable cost whilst balancing the needs of business growth and regulatory demands. Treasury's role extends to business steering through the effective transfer pricing of these liquidity and capital resources to the businesses.

The key stakeholders for the role will be country management, front office business heads and business managers, infrastructure partners and our banking regulators. The position requires an experienced and confident individual with the ability to explain complex concepts clearly and develop working relationships across the bank.

**TMI Pool**

Treasury Markets & Investments (TMI) is function within Group Treasury focussing on ensuring liquidity and executing the funding of Deutsche Bank, proactively managing the market risks of banking book activities and effectively investing Deutsche Bank’s liquidity buffer. Pool is a function within TMI and has one Global Head reporting to the Global head of Treasury Markets & Investments.

The Pool’s mandate is to manage the Bank‘s cash & funding and market risks of the Bank‘s liquidity pool book activities as well as optimize the bank‘s non-core liquidity buffer.

Pool operates under a fiduciary risk management mandate and currently manages the market risks (e.g. interest rate, FX), liquidity, and funding risks of Deutsche Bank’s unsecured Liquidity Pools. The Pool Desk under Treasury is a risk management function which independently from DB businesses manages and optimizes the risks within its mandate. The Desk does not operate solely or primarily for revenues or P&L objectives. It does not engage in market-making or ‘trading’ activities (e.g., for purposes of MaRisk or CRD IV), though it does engage in transactions that would constitute proprietary trading for purposes of the Volcker Rule.

There are regional Pool managers responsible for the Pool books in the major hubs as well as overseeing the risks of the local Pool books in smaller countries of their respective region, i.e. Treasury Markets Pool in APAC, in EMEA and in the Americas. On top of that there is a separate Risk Management function as well as the former DB PGK Financial Markets Desk which - after the merger of DB PGK into DB AG - will be consolidated as part of Project Unity. They all report (functionally) to the Global Head of TMI Pool while also maintaining local reporting lines where required.

**Role Description**:

- Management of the local Pool desk in Luxembourg, covering both DB Lux SA and DB AG Lux Branch
- Take direct responsibility for Risk and PnL using TMI’s official Risk & P/L engines (Kannon)
- Management of daily Pool funding and cash management activities in accordance with internal and external limits mainly through intergroup borrowing and lending.
- Perform cash and liquidity management taking into account liquidity and regulatory metrics/limits (e.g. minimum reserve, LCR, NSFR and sNLP etc.)
- Support the local Asset & Liability Management with regular interaction with Group functions: management of mismatches in term profile of assets and liabilities in the local liquidity pool in accordance with Treasury governing principles for transfer pricing and liquidity risk
- Management of Banks’s liquidity and interest rate risk across EUR, USD, GBP and other currencies within the financial and regulatory framework
- Provide internal funds transfer prices to local businesses in line with the Group’s guidelines and capture internal trades i.e., Pool v/s Businesses
- Support local ongoing management, development, and implementation of changes in Funds Transfer Pricing and Liquidity Management methodologies, working with Central Treasury policy teams
- Understanding the local regulatory environments as they relate to Treasury, ensuring the Treasury team and business are always appraised of developments and changes, together with the likely impacts to the local business
- Close communication and cooperation with local Finance and Operations regarding daily liquidity requirements
- Interact with regional teams to ensure proper flow of communication regarding local Pool activities.
- Support the local Treasurer and other local Pool Managers within South & West Europe in back-up activities and in preparation of local governance documentation such as for the local ALCO meetings
- Update Treasury’s internal Policies in line with both local regulatory and G


  • Treasury Analyst

    il y a 6 jours


    Luxembourg Johnson Controls Temps plein

    **What you will do** As Treasury Analyst you will be responsible for all Treasury Operations related to the financial market transactions executed by JCI’s Global Financial Risk Management Group, the Company’s Global cross-currency notional cash-pool and the daily cash and liquidity management worldwide. These financial market transactions include but...

  • Junior Treasury Analyst

    il y a 2 semaines


    Luxembourg Eurofins Campus Temps plein

    Company Description Eurofins Scientific is an international life sciences company, providing a unique range of analytical testing services to clients across multiple industries, to make life and our environment safer, healthier and more sustainable. From the food you eat, to the water you drink, to the medicines you rely on, Eurofins laboratories work with...

  • Treasury Analyst

    il y a 21 heures


    Luxembourg Fyte Temps plein

    To support its growth, we are looking for a Treasury Analyst (M/F) to join its global Treasury department in Luxembourg. Working closely with the Group Treasury Operations Manager, your main responsibilities will be: Follow up and oversight of treasury operations, including liquidity management, intercompany financing and closing activities; **Strong support...

  • Treasury Analyst

    il y a 5 heures


    Luxembourg Huntsman Temps plein

    Job Description: Treasury Analyst We are recruiting for a Treasury Analyst to join our EAME Treasury team based in Luxemburg. This position is full time and reports to the Senior Treasury Manager. Our EAME team is not only responsible for the region’s treasury operations, but also is tasked with certain centralized activities. As a Treasury Analyst, you...


  • Luxembourg Amazon Europe Core Sarl Temps plein

    Significant years' experience in a large corporate environment and/or public accounting or large law firm. - Bachelor's degree. - CA (Chartered Accountant) or equivalent, Masters in Tax or Masters of Law with tax specialization - Understanding of the international tax provisions of either European or US international tax laws. - Previous expertise with...


  • Luxembourg Findel Airport Amazon Temps plein

    DESCRIPTION If you are looking for a new challenge in a fast-paced, innovative company, come make history with Amazon’s International Tax team in Luxembourg! Amazon is seeking an international tax planning manager in Luxembourg for the Amazon International Tax Planning Group supporting Amazon Treasury and broader financial services matters. The manager...

  • Treasury Analyst

    il y a 5 heures


    Luxembourg PPRO Temps plein

    The Treasury team oversees PPRO´s global own and client money flow activities in more than 40 different currencies and a run rate of more than 15 bil EUR per year. Treasury is responsible for managing banking relationships across PPRO, implementing bank based products, and is front-facing to the financial markets. The team works closely with the business...


  • Luxembourg LHH Temps plein

    This is an exciting opportunity to be part of a global renowned manufacturer. You will report to the Group Treasurer. As a member of the Treasury team, you will be responsible for handling the regional liquidity and the corporate banking processes and controls to ensure optimal financial management and compliance. LHH Recruitment Solutions offers extensive...

  • Senior Treasury Manager

    il y a 2 semaines


    Luxembourg Treasurer Search Temps plein

    **Tasks Senior Treasury Manager**: The emphasis is on further building, professionalising and leading the in-house bank and operational treasury centre in Luxembourg. This includes the further implementation of Kyriba. Following this, the focus will be on connecting global operating companies, streamlining treasury operations and bank relations. Bringing...

  • Energy Luxembourg Trader W/m

    il y a 2 semaines


    Luxembourg ArcelorMittal Treasury Temps plein

    Within Corporate functions, ArcelorMittal Treasury is the central treasury of the Group, acting as the internal bank of the Group, facing financial markets to deal with all Corporate Finance and price risk management matters. Scope of assets under management, number of subsidiaries managed by Treasury and structure of the cash pooling make AM Treasury one of...