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Head of Liquidity Management & Money Markets - Group Treasury

ExperiencedNo visa sponsorship
ING Bank logo

at ING Bank

Other

Posted 6 days ago

No clicks

**Head of Liquidity Management & Money Markets - Group Treasury: Lead Strategic Cash & Funding for ING** As Head of Liquidity Management & Money Markets (LM&MM) Netherlands, you'll guide a critical Group Treasury function, ensuring ING's stability and future-readiness by managing cash, liquidity, and short-term funding. This role combines expert depth with leadership, impacting both day-to-day balance sheet management and stress preparedness. You'll lead, coach, and develop senior specialists, fostering a safe, inclusive team environment. Key Responsibilities: - Lead and grow the LM&MM NL team, setting clear priorities and promoting development. - Oversee cash, nostro, and intraday liquidity management, aligning liquidity buffers, collateral, and payment flows. - Manage short-term funding activities, building relationships with investors and counterparties. - Translate regulatory and internal liquidity requirements into practical ways of working. - Represent LM&MM within ING and externally, serving as a reliable escalation point during market or operational events. - Contribute to capability building and best practice sharing across Group Treasury. Required Skills & Experience: - Master's degree in a relevant field. - 8+ years of experience in Treasury, Capital Markets, or Financial Markets, with hands-on liquidity and funding exposure. - Proven experience in people leadership, talent development, and senior stakeholder engagement. - Strong analytical skills, sound judgement, and clear communication skills in English. - Alignment with ING's Orange Code and Orange Leadership Behaviours.

Compensation
Not specified EUR

Currency: € (EUR)

City
Amsterdam
Country
Netherlands

Full Job Description

As Head of Liquidity Management & Money Markets Netherlands, you lead a key part of Group Treasury that helps keep ING stable, resilient and ready for the future. Together with your team and partners across the bank, you ensure that cash, liquidity and short-term funding are managed in a careful, forward-looking and well-coordinated way. This role combines professional depth with people leadership and plays an important role in both day-to-day balance sheet management and stress preparedness. You lead by lifting others. You create clarity on goals and expectations, encourage open dialogue, and support learning and development. You coach senior specialists and future leaders, focus on succession planning, and plan capacity thoughtfully to balance business-critical coverage with team wellbeing.

The Team

Based in Amsterdam (Dealing Room), you work closely with colleagues across INGs international network, partnering with second-line functions, business teams and external stakeholders in a dynamic and collaborative environment.

Roles and responsibilities

  • Lead the LM&MM NL team by setting clear priorities and creating a safe, inclusive environment where people can grow, contribute and perform with confidence.

  • Oversee cash, nostro and intraday liquidity management for ING Bank N.V., ensuring liquidity buffers, collateral and payment flows are aligned end-to-end.

  • Support and coordinate short-term funding activities (CD/CP issuance and professional deposits) across currencies and maturities, building trust-based relationships with investors and counterparties.

  • Translate regulatory and internal liquidity requirements (including LCR and NSFR) into clear and practical ways of working.

  • Represent LM&MM within ING and externally, acting as a calm and reliable escalation point during market or operational events.

  • Guide minimum reserve management, year-end balance-sheet preparation and contingent liquidity readiness, including maintaining clear and usable stress playbooks.

  • Work closely with partners across Risk, Finance, FM and Lending to align decisions affecting cash positions, basis risk and balance-sheet limits.

  • Contribute to the wider LM&MM community by sharing best practices and supporting standardisation and capability building across Group Treasury.

How to succeed

We hire smart people like you for your potential. Our biggest expectation is that youll stay curious. Keep learning. Take on responsibility. In return, well back you to develop into an even more awesome version of yourself.

We are looking for the following knowledge and experience:

  • Masters degree in Economics, Finance, Business Administration or a related field.

  • 8+ years of relevant experience in Treasury, Capital Markets or Financial Markets, with hands-on exposure to liquidity and funding.

  • Proven experience in people leadership, talent development and senior stakeholder engagement.

  • Strong analytical skills combined with sound judgement and execution capability in dynamic environments.

  • Clear and inclusive communication skills in English.

  • Strong alignment with INGs Orange Code and Orange Leadership Behaviours.

Rewards and benefits

We want to make sure that its possible for you to strike the right balance between your career and your private life. Find out more about our employment conditions. (opens in new window)

The benefits of working with us at ING include:

  • 25-28 vacation days depending on contract

  • Pension scheme

  • 13th month salary

  • 8% Holiday payment

  • Personal growth and challenging work with endless possibilities

  • An informal working environment with innovative colleagues

About us

Curious about how ING empowers people and businesses to move forward?

Discover what we do and what we can offer you (opens in new window).

Questions?

Contact the recruiter attached to the advertisement. Want to apply directly? Please upload your CV and motivation letter by clicking the Apply button.

Please note, multiple interview steps involving various business stakeholders will be part of the selection process.

Apply now

SIMILAR OPPORTUNITIES

No similar opportunities available at the moment.

Head of Liquidity Management & Money Markets - Group Treasury

Compensation

Not specified EUR

City: Amsterdam

Country: Netherlands

ING Bank logo
Other

6 days ago

No clicks

at ING Bank

ExperiencedNo visa sponsorship

**Head of Liquidity Management & Money Markets - Group Treasury: Lead Strategic Cash & Funding for ING** As Head of Liquidity Management & Money Markets (LM&MM) Netherlands, you'll guide a critical Group Treasury function, ensuring ING's stability and future-readiness by managing cash, liquidity, and short-term funding. This role combines expert depth with leadership, impacting both day-to-day balance sheet management and stress preparedness. You'll lead, coach, and develop senior specialists, fostering a safe, inclusive team environment. Key Responsibilities: - Lead and grow the LM&MM NL team, setting clear priorities and promoting development. - Oversee cash, nostro, and intraday liquidity management, aligning liquidity buffers, collateral, and payment flows. - Manage short-term funding activities, building relationships with investors and counterparties. - Translate regulatory and internal liquidity requirements into practical ways of working. - Represent LM&MM within ING and externally, serving as a reliable escalation point during market or operational events. - Contribute to capability building and best practice sharing across Group Treasury. Required Skills & Experience: - Master's degree in a relevant field. - 8+ years of experience in Treasury, Capital Markets, or Financial Markets, with hands-on liquidity and funding exposure. - Proven experience in people leadership, talent development, and senior stakeholder engagement. - Strong analytical skills, sound judgement, and clear communication skills in English. - Alignment with ING's Orange Code and Orange Leadership Behaviours.

Full Job Description

As Head of Liquidity Management & Money Markets Netherlands, you lead a key part of Group Treasury that helps keep ING stable, resilient and ready for the future. Together with your team and partners across the bank, you ensure that cash, liquidity and short-term funding are managed in a careful, forward-looking and well-coordinated way. This role combines professional depth with people leadership and plays an important role in both day-to-day balance sheet management and stress preparedness. You lead by lifting others. You create clarity on goals and expectations, encourage open dialogue, and support learning and development. You coach senior specialists and future leaders, focus on succession planning, and plan capacity thoughtfully to balance business-critical coverage with team wellbeing.

The Team

Based in Amsterdam (Dealing Room), you work closely with colleagues across INGs international network, partnering with second-line functions, business teams and external stakeholders in a dynamic and collaborative environment.

Roles and responsibilities

  • Lead the LM&MM NL team by setting clear priorities and creating a safe, inclusive environment where people can grow, contribute and perform with confidence.

  • Oversee cash, nostro and intraday liquidity management for ING Bank N.V., ensuring liquidity buffers, collateral and payment flows are aligned end-to-end.

  • Support and coordinate short-term funding activities (CD/CP issuance and professional deposits) across currencies and maturities, building trust-based relationships with investors and counterparties.

  • Translate regulatory and internal liquidity requirements (including LCR and NSFR) into clear and practical ways of working.

  • Represent LM&MM within ING and externally, acting as a calm and reliable escalation point during market or operational events.

  • Guide minimum reserve management, year-end balance-sheet preparation and contingent liquidity readiness, including maintaining clear and usable stress playbooks.

  • Work closely with partners across Risk, Finance, FM and Lending to align decisions affecting cash positions, basis risk and balance-sheet limits.

  • Contribute to the wider LM&MM community by sharing best practices and supporting standardisation and capability building across Group Treasury.

How to succeed

We hire smart people like you for your potential. Our biggest expectation is that youll stay curious. Keep learning. Take on responsibility. In return, well back you to develop into an even more awesome version of yourself.

We are looking for the following knowledge and experience:

  • Masters degree in Economics, Finance, Business Administration or a related field.

  • 8+ years of relevant experience in Treasury, Capital Markets or Financial Markets, with hands-on exposure to liquidity and funding.

  • Proven experience in people leadership, talent development and senior stakeholder engagement.

  • Strong analytical skills combined with sound judgement and execution capability in dynamic environments.

  • Clear and inclusive communication skills in English.

  • Strong alignment with INGs Orange Code and Orange Leadership Behaviours.

Rewards and benefits

We want to make sure that its possible for you to strike the right balance between your career and your private life. Find out more about our employment conditions. (opens in new window)

The benefits of working with us at ING include:

  • 25-28 vacation days depending on contract

  • Pension scheme

  • 13th month salary

  • 8% Holiday payment

  • Personal growth and challenging work with endless possibilities

  • An informal working environment with innovative colleagues

About us

Curious about how ING empowers people and businesses to move forward?

Discover what we do and what we can offer you (opens in new window).

Questions?

Contact the recruiter attached to the advertisement. Want to apply directly? Please upload your CV and motivation letter by clicking the Apply button.

Please note, multiple interview steps involving various business stakeholders will be part of the selection process.

SIMILAR OPPORTUNITIES

No similar opportunities available at the moment.