Liquidity management analyst M/F Expired
Published on 13/03/2026
Hays Luxembourg
- Luxembourg-Ville
- Accounting / Controlling / Tax
- Between 300 and 350 € / day
Freelance Liquidity Management Analyst available in Luxembourg - expert in cash forecasting, intraday liquidit
About the Role
Key Responsibilities
Perform short‑term cash flow forecasting across multiple currencies and cashflow types.
- Execute daily liquidity monitoring and intraday liquidity oversight, including reporting and stress testing.
- Develop and maintain liquidity risk metrics and indicators.
- Collaborate with Treasury, Forex, relationship managers, operational teams, and correspondent banks.
- Manage timing and prioritization of liquidity outflows.
- Support Central Bank operations delivered to clients.
- Analyze liquidity data and recommend optimization actions.
- Secure intraday funding and respond to liquidity disruptions.
- Contribute to project work, testing, release management, and reporting improvements.
Understanding of banking products and processes.
- Proficiency in MS Office, especially Excel/VBA.
- Strong interpersonal skills, analytical mindset, adaptability, and communication abilities.
- Languages: French & English.
- Experience: Motivation and willingness to learn are key.
- No work from home allowed