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Treasury Manager (ALM)

MolliePayments company
Amsterdam, NetherlandsManager
Blackstone Growth
EQT Growth
General Atlantic logo
General Atlantic
HMI Capital
Alkeon Capital
TCV logo
TCV
Finance

About the role

TL;DR

Build and manage Mollie's ALM function, shaping liquidity and risk strategies.

  • Mollie is seeking a Treasury Manager to build and own the Asset & Liability Management (ALM) function from scratch.
  • This is a critical 0-to-1 role that will shape the company's liquidity risk framework, interest rate and credit spread risk approach, and funding and balance sheet strategy.
  • Key Responsibilities Build and own the core building blocks of Mollie liquidity risk framework.
  • Develop Mollie’s approach to interest rate risk and credit spread risk in the banking book.
  • Contribute to the design of Mollie’s funding and balance sheet strategy.
  • Build the Contingency Funding Plan and related early-warning indicators.
  • Requirements Around 5+ years of experience in Treasury, ALM or balance sheet risk management.
  • Solid working knowledge of liquidity risk (LCR/NSFR, ILAAP) and/or interest rate risk in the banking book (IRRBB/CSRBB).
  • Comfort building models and frameworks from a blank page.
  • Strong quantitative and Excel/financial modelling skills.
View original posting →

Required skills

Risk ManagementTreasuryExcelFinancial ModelingPython

Domain expertise

fintech

Tech stack

ExcelPython

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