Back Office Analyst – European Institution

Published on 13/03/2026

LHH Luxembourg logo

LHH Luxembourg


Working time
Type of contract
Spoken languages
EN

Our client, a Investment bank based in Luxembourg is looking for its future Back Office Analyst for their Transaction Processing & Treasury Operations department.

This will be a temporary contract of 2 months. Please note that this assignment may be extended, in accordance with Luxembourgish law, for a maximum duration of 1 year.

LHH Recruitment Solutions offers extensive HR solutions through one unique brand. We are specialised in the employment of middle and top management and highly qualified professionals in contracting temporary and permanent placement. At LHH Recruitment Solutions, we believe in talent, not labels, and embrace diversity and promote more inclusive employment to our clients and partners.

Main responsibilities :

You will support the back-office team responsible for monitoring and validating financial transactions related to treasury and funding activities. The role focuses on ensuring that transactions are correctly processed, controlled, and reported within internal systems.


Your tasks will include:

  • Performing control checks on financial transactions using the four-eyes principle (dual verification)
  • Monitoring and validating transactions related to borrowing, treasury instruments and derivatives
  • Supporting regulatory reporting activities
  • Verifying market data such as coupon rates and money market transactions
  • Performing validation checks on securities and derivatives transactions
  • Managing and controlling financial messages sent through SWIFT
  • Ensuring that all transactions are accurately recorded and properly documented

You will work closely with colleagues across treasury, operations, and financial teams to ensure smooth and compliant processing of financial operations.

Your profile :

  • At least 3 years of experience in banking or financial services, ideally in Back Office or Middle Office roles
  • Experience working with financial instruments such as bonds, derivatives, foreign exchange or money market products
  • Practical experience in treasury or financial market operations

Technical skills :

  • Strong Excel skills
  • Experience with Treasury Management Systems is a plus
  • Basic knowledge of SWIFT messaging standards is an advantage
  • Experience with transaction reconciliation and documentation processes
  • Interest in process improvements and digital tools

Personal skills :

  • High attention to detail and accuracy
  • Strong analytical and problem-solving skills
  • Ability to prioritise tasks and work under deadlines
  • Good team collaboration and communication skills

Education :

  • Bachelor’s degree in Finance, Accounting, Economics or a related field

Languages :

  • Very good level of English, written and spoken

To include yourself in this recruitment process; to find out more information about this role; or to discuss other career opportunities we have available, please contact Muriel Mercier as soon as possible - CONFIDENTIALITY ASSURED.

Ready For Next.

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Back Office Analyst – European Institution

 
 
 
 

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