Job Description

Company DescriptionAs a Luxembourg-based bank since 1979, together with the global presence of Bank of China Group, Bank of China Luxembourg Branch has been successfully operating and continuously developing its business over the years. It contributes to the local and worldwide economic and social development. With more than 45 years of expertise and experience in the European markets, the bank extended its roots covering 15 institutions located in 13 European countries and becoming Bank of China Europe, since 2022.Bank of China Europe adheres to the guidance of Bank of China group and continues to grow and expand its business coverage across the world, offering comprehensive business solutions to its clients worldwide with its globalized operations and diversified platforms.Today, Bank of China Europe comprises an international workforce with a multicultural background of more than 30 different countries and regions with over 600 employees.Job DescriptionAs our operations continue to grow, we are currently looking for a talented and motivated professional to join our team as:Position: Finance Officer (ALM and Liquidity)Job PurposeJoin our Financial Management Department as a Finance Officer to support its Asset & Liability and Liquidity management functions, you will contribute to shape Bank of China EU headquarters balance sheet strategy: you will be responsible for measuring, analyzing, reporting, forecasting, and improving Asset and Liability indicators across its EU operations.Main ResponsibilitiesYour key responsibilities will include (but are not limited to):Collaborate with Front Office and Risk Management functionsPrepare ALM and liquidity reports and ad-hoc analysis for management.Implement management measures to enhance the bank’s balance sheet.Support ALCO meeting preparation, including materials, communications and minutes.Monitor and manage indicators such as LCR, NSFR, liquidity stress tests, net interest income, and interest rate risk.Contribute to liquidity risk management – cash flow analysis, forecasting, and stress tests.Perform annual liquidity contingency test and related documentation.Maintain and update relevant policies, procedures and frameworks.QualificationsTechnical Skills & QualificationsEducation Background: Bachelor's degree or higher in finance, Accounting, IT or relevant fieldWorking experience: 0-10 years of relevant experience; entry and mid-level applicants are encouraged; role and responsibilities will be adapted to experience level Hard skills: Strong Excel and data processing skills; familiarity with SQL, Python, data visualization or data processing tools is an advantageLanguage: Fluent in EnglishSoft Skills & AttributesStrong analytical and problem-solving abilitiesDetail-oriented, proactive, and comfortable working under deadlinesExcellent communication and teamwork skillsCurious, adaptable, and motivated to develop expertise in balance sheet and liquidity management

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