Management Assistant ABN Amro Clearing (Amsterdam) Amsterdam

At a glance ABN AMRO Clearing holds significant market shares in financial markets across the globe holding top spots in clearing on numerous exchanges in every region, clearing anything from 10 to 20 million trades per day. Being a global 24x7 business, English is the primary language.Since April 2011, ABN AMRO Clearing has been designated as a mono-line company within ABN AMRO and has held its own banking license since 2004 (ABN AMRO Clearing Bank NV). ABN AMRO Clearing has roughly 800 FTE globally and is self sufficient and has its own supporting organisation. Your job You independently support 2 members of the European management team (the CIO and CFO Europe) and enable them to perform their function efficiently. Together with your colleague secretaries you ensure that the team functions optimally.Your priorities are agenda management and the scheduling of appointments and meetings. You handle the incoming/outgoing phone calls. You take care of the screening of the email and act on them independently. You are responsible for the HR administration, travel arrangements, organising en preparing meetings and events, you take action and monitor progress. Your working environment You are a enthousiastic and experienced secretary. You are proactive and flexible and like to work in a team. You can switch quickly between various activities and you don't panick easily.You have a good knowledge of the Windows applications. You have at least 5 years relevant working experience. You have a MBO/HBO working and thinking level. Your profile One of the managers you are going to work for is English speaking. So excellent knowledge of the English language is essential.You have an excellent track record in supporting senior management in their day to day tasks. Furthermore you have the experience, the personal and professional skills necessary to function as a management assistant of our European management team.You have knowledge and experience in supporting senior management of larger (international) teams and are able to deal with complex issues in a global environment. Last but not least understanding of the clearing environment and business is appreciated. What we offer Working with ABN AMRO Clearing Bank means working in an international environment. We offer a challenging function where you can use multiple skills in a pleasant working environment where you and your colleagues make a difference.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 17-08-2018

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Credit Collateral Management Officer (Amsterdam) Amsterdam

Your job You will be responsible for pro-active risk management and monitoring of the liability and collateral position of Energy/Metals/Agri Commodities clients portfolio including complicated and risk-wize challenging clients and being the daily first contact for these clients. This incorporates the independent assessment of all transactions for compliance to facility terms, assessment of the value and acceptability of collateral provided and the resultant credit risk position for the Bank and providing approval to operations departments to execute. Ongoing communication with commercial account management and Business Line Risk is necessary for alerting adverse developments in the risk profile of the portfolio, obtaining necessary approvals and reporting on the client / Bank position. At a glance Are you fit to become our new Credit & Collateral Management Officer? Are you in to credit & Collateral Monitoring and operational risk and working with Account Management and you know how to practice this within the Commodity Finance world, then we are looking for you! Your working environment As a C&CM officer , you are working at the very international orientated C&CM department, where English is the main spoken languages, with colleagues coming from over the whole world. You will be working on the same floor as the commercial desk is working. If you come to work at Corporate & Institutional Banking/Trade & Commodity Finance, you will be joining a business, which is enterprising and daring. What we offer If you have the drive we will offer you ample scope to fulfill your ambitions. You will be given every opportunity to work on your personal development and further your career. We offer excellent terms of employment. Dependent on your knowledge and experience your Hay scale will be determined. Your profile * Minimum Bachelor Degree and minimum 4 years relevant experience in Commodity Finance* Pro active Risk Management skills, a comprehensive knowledge of ABN AMRO systems * A good up-to-date working knowledge of LC's, documentary collections, guarantees and the international rules governing such products i.e. UCP, URC etc. and of payment techniques such as , TT wire transfer, SWIFT as well as treasury products such as money market loans / spot & forward foreign exchange and derivative products (swaps / options). * A comprehensive knowledge of the principles of commodity / trade finance collateral including title documents, inventory and receivables and of the risks and monitoring factors of less secured transactional collateral such as charterparty B/Ls, FCRs, railway bills, holding certificates; a good understanding of the assessment of their acceptability, the methods of valuation and the monitoring / control methods to protect the Bank; * Good understanding of commodity futures, the link to physical positions financed and the risks / monitoring possibilities for the Bank; * An understanding of principles according to other major legal jurisdictions applicable to financing by the Bank. * Good awareness of market developments applicable to the clients / portfolio. In particular of the typical commodity flows, trade terms /practices applicable, counter parties within the trade, peculiarities, hedging possibilities
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 15-08-2018

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Business Developer V (042G12) Amsterdam

At a glance Within ABN AMRO we are looking for an Senior Business Analyst to work on the transformation of the Accounting domain. You start working on the Finance and Risk Architecture Alignment initiative (FRAAI), one of the key strategic programmes of ABN AMRO. Are you looking for a next step in your career with challenging prospect and lots of development opportunities? What do you see when you envision the next step? Work on achieving your goals and develop yourself professionally and personally. Tell us your story. We want to hear it! Your job As a Senior Business analyst, you will be working on mapping analysis, requirements settings, gap closure and sourcing data for Accounting. Together with your team, your first responsibility is to deliver the requirements for the future Accounting function. You will have opportunities for personal development and are expected to take initiative, work with autonomy, but at the same time you deliver value as a team. Your working environment As part of a scrum team using an Agile way of working, you take an active role in the FRAAI Mainbank scrum team within the Accounting GRID. The team is located at the Head Office of ABN AMRO. • Working in a multidisciplinary team (5-9 people) • Working within a fast-paced innovative change initiative that will shape the future Accounting function. • Informal atmosphere with lots of room for fun. • An environment that simulates to embrace failures as a necessary step to learn quickly. • Ability to become a 'T-shaped' professional with a specialism and the ambition to keep learning new skills. • Working together as a dynamic multi-cultural team. • Being part of digital revolution! Your profile Required skills: • You have an university degree in a Finance or IT related area • You have 10+ years' experience in Finance, preferably in an Accounting environment within a financial institution. • You are a seasoned professional that has dealt with large change projects and guiding junior / medior team members • You have knowledge of and experience with Agile (Scrum) methodology • You enjoy to deliver quality and work accurately, but are flexible enough to also high level results when this fits the purpose • You take responsibility for your own work and are keen to contribute to the teams goal • You are eager to learn and work on the skills you will need in the future What we offer We are offering: • The opportunity to be the best you can be, work flexible hours and lots of room to grow both personally and professionally • The opportunity to pro-actively work on your vitality and fitness • Market-conform Salary • Substantial education budget and a public transportation card. • A large responsibility and the freedom to do your job • A well-equipped office, and all required facilities to do your job • Possibility of joining the training program at our very own IT Academy (only for junior applicants) • Room to visit (tech-related) seminars • Required investments to boost your personal skills • A client base of +/- 5mio users for you to make an impact on
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 15-08-2018

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Finance Noord Holland Amsterdam
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Business Developer Accounting Amsterdam

At a glance Within ABN AMRO we are looking for an Medior Business Analyst to work on the transformation of the Accounting domain. You start working on the Finance and Risk Architecture Alignment initiative (FRAAI), one of the key strategic programmes of ABN AMRO. Are you looking for a next step in your career with challenging prospect and lots of development opportunities? What do you see when you envision the next step? Work on achieving your goals and develop yourself professionally and personally. Tell us your story. We want to hear it! Your job As a Medior Business analyst, you will be working on mapping analysis, requirements settings, gap closure and sourcing data for Accounting. Together with your team, your first responsibility is to deliver the requirements for the future Accounting function. You will have opportunities for personal development and are expected to take initiative, work with autonomy, but at the same time you deliver value as a team. Your working environment As part of a scrum team using an Agile way of working, you take an active role in the FRAAI Mainbank scrum team within the Accounting GRID. The team is located at the Head Office of ABN AMRO. • Working in a multidisciplinary team (5-9 people) • Working within a fast-paced innovative change initiative that will shape the future Accounting function. • Informal atmosphere with lots of room for fun. • An environment that simulates to embrace failures as a necessary step to learn quickly. • Ability to become a 'T-shaped' professional with a specialism and the ambition to keep learning new skills. • Working together as a dynamic multi-cultural team. • Being part of digital revolution! Your profile Required skills: • You have an University degree in a Finance or IT related area • You have 5-7 years' experience in Finance, preferably in an Accounting or Finance IT domain. • You are experienced in working with databases and SQL • You have knowledge of and experience with Agile (Scrum) methodology • You are highly interested in data and requirement analysis • You enjoy to deliver quality and work accurately, but are flexible enough to also high level results when this fits the purpose • You take responsibility for your own work and are keen to contribute to the teams goal • You are eager to learn and work on the skills you will need in the future What we offer We are offering: • The opportunity to be the best you can be, work flexible hours and lots of room to grow both personally and professionally • The opportunity to pro-actively work on your vitality and fitness • Market-conform Salary • Substantial education budget and a public transportation card. • A large responsibility and the freedom to do your job • A well-equipped office, and all required facilities to do your job • Possibility of joining the training program at our very own IT Academy (only for junior applicants) • Room to visit (tech-related) seminars • Required investments to boost your personal skills • A client base of +/- 5mio users for you to make an impact on
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 15-08-2018

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Finance Noord Holland Amsterdam
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Auditor Supervisor Corporate Audit Services NL Lending, Lease and Clients

Auditor Supervisor Corporate Audit Services - NL Lending, Lease and Clients We offer you a job in an active and dynamic environment in which you will contribute to a strong control framework within ING in the Domestic Bank in The Netherlands. This will also enable you to further expand your knowledge on Business Banking and Wholesale Banking services and expand your network in ING. Job description ING's global Corporate Audit Services division (CAS) is looking for an experienced audit supervisor who is energised by improving the control environment via the execution of high quality audits. This means evaluating the design and assessing the operating effectiveness of controls, in the form of processes, activities, applications, and so on. Independent assessments are carried out by means of various audit techniques. Audit findings are reported including suggestions for improvement and concrete recommendations, and presented to senior management. As an Audit Supervisor you typically have more than 8 years relevant work experience. You require only limited supervision and guidance in areas that involve multiple and/or senior stakeholders, covering a varied array of topics in Business and Wholesale Banking services. You are able to actively lead the planning, execution and reporting process of audits, independently. This means that you supervise the work performed by the team, and execute audit related work under high quality standards; you coach your auditors on the job; pro-actively give feedback on the progress of the audit towards stakholders; foresee issues and/or carry out your work in a way that avoids bottlenecks building up in the audit process; You can prepare high quality draft reports and discuss these with the auditee. Your work environment You will be based in Amsterdam and work as part of the Lending, Lease and Clients audit team within the Audit Division Domestic Bank NL (CAS NL). This division is part of CAS, which is a highly professional organisation with approximately 20 audit teams across the globe with more than 300 staff members. Together with your Amsterdam colleagues, you will provide audit coverage on a variety of audits mainly related to the domain of ING Netherlands. Although you will mainly work in The Netherlands, you will also have to opportunity to support audit teams abroad. Your development At ING we realise that qualitative growth means that we always have to have the best people in the best positions. That's why we will invest in your personal growth and development. We will ensure that we support you in always being up to date on the key developments in your field, and that you continue to improve your performance. Your profile You: Have the ability to independently plan and execute complex audit assignments. Manage a complex audit process within the agreed constraints and is responsible for the timely closure of the audit files. Prepare high quality draft audit reports which include the identified control weaknesses and which are written in a clear and concise manner Have an academic degree and are in the possession of an audit or comparable certification (RA/RE/RO and CIA) or want to attain such certification Have (International) experience in complex organisations and a bird's eye view and knowledge of ING's business, risks and associated controls Maintain a professional relationships with the audit clients. Manage expectations of auditees, through active communications Provide input to the Audit Strategy Memorandum, Audit universe and the yearly Audit Plan Have 8 years relevant work experience in Banking (preferably in risk and finance) and/or audit and internal control Are organisationally sensitive and effective in conflict management Have proven communication, convincing and advisory skills with the ability to work at all levels in the organisation Keep up to date on developments in the field of auditing. Have a thorough understanding of the areas subject to audits. Apply in-depth knowledge and encourage knowledge sharing amongst colleagues Furthermore: You are naturally ambitious, pro-active, critical and curious You are fluent in English and Dutch and you are willing to travel abroad (6-8 weeks per year), depending on assignments. You adhere to the ING values and it is evident for you that your behaviour is fully aligned with these values. You are also prepared to take the Banker's Oath. For more information, please visit http://www.ing.jobs/Netherlands/Why-ING/This-is-ING-too/ING-Values.htm What we offer This is a full-time position of 36 hours or 40 hours a week in Amsterdam. ING Bank offers an attractive employee benefits package with excellent secondary labour conditions as agreed in the collective labour agreement. Would you like to know more or apply? Do you have any question about the position of Senior Auditor at ING's Corporate Audit Services? Please, feel free to contact Willem Buijs (+31683640390). In case you directly would you like to apply for the function please click on the button below.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 11-08-2018

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Financial Professional I (Amsterdam) Amsterdam

At a glance Would you like to be the linking pin between the front office and ABN AMRO's financial statements and regulatory reports?We are Accounting & Product Control Global Markets and ALM/Treasury, the team within Financial Accounting that is responsible for accurately recording financial results of Global Markets and ALM/Treasury. We have a pivotal role in the business value chain, linking our front office stakeholders and the financial chain that ultimately leads to ABN AMRO's reporting of financial figures.We are looking for a Financial Professional to strengthen our team. Do you like to be in a challenging environment right on the crossroads of complex financial analysis and operational excellence?Tell us your story. We want to hear it! Your job As Financial Professional with Accounting & Product Control ALM/Treasury, you'll have a role in the monthly closing. You process, analyze and validate the financial position of ALM/Treasury. You will be responsible to ensure correct recording of financial information in the front office source systems and correct throughput into the finance chain. You will play your role in continuously improving our activities and sharing insights in the financial position of ALM/Treasury with our stakeholders (like front office, controlling, regulatory reporting and consolidation). Your working environment The team is part of Financial Accounting, the core department of Finance. Both ALM/Treasury as well as other finance and risk departments rely on the work of the team. You will be part of a diverse and close team (of 15 FTE) that is focused on achieving the best results and helps out each other when needed. Together we get the job done. You are able to translate economic and regulatory events and developments into appropriate accounting. You work accurate, get the job done on time and are a team player. You take initiative to continuously improve our processes. While action-oriented, you also have a view on the bigger picture. Your profile Do you see a match? Check your profile: • Minimum level of education: HBO / University • 1-5 years of work experience, preferably in Finance or Risk • Affinity with financial analysis and IFRS • Very good excel skills What we offer We are offering • The opportunity to be the best you can be, work flexible hours and lots of room to grow both personally and professionally • The opportunity to pro-actively work on your vitality and fitness • A salary ranging from EUR 2.900 to EUR 4.200 per month based on a 36-hour workweek • A supplementary benefit budget of 11%, which you can spend on additional fringe benefits • A personal development budget of EUR 1.000 per year • An annual public transportation pass or travel budget, depending on the function • A solid pension plan
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 11-08-2018

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Finance Noord Holland Amsterdam
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Data analist

ING zoekt... een ervaren SAS data analist voor Finance Business Advice. Iemand die vooroploopt in data analyse en nieuwsgierig is hoe je hiermee impact kan maken in de Finance functie van een internationale bank. De financiële wereld maakt grote veranderingen door die elkaar in steeds sneller tempo opvolgen. ING wil als een wereldwijde speler een rol spelen in deze ontwikkelingen. Wij geloven dat slim gebruik van data analyse, met mensen die excelleren in dit dynamische werkveld, cruciaal is om te innoveren en om onszelf te onderscheiden. Dit ga je doen In deze rol werk je met behulp van nieuwe data technologie and analytische methodieken aan het oplossen van uitdagende strategische finance vraagstukken. Als SAS analist draag je concreet bij aan de Finance functie door het: • Initiëren en uitvoeren van data projecten, samen met de controllers van Finance Business Advice (FBA), waarmee je impact maakt voor de organisatie; • Verzamelen, onderzoeken en slim combineren van verschillende bronsystemen; • Interpreteren en analyseren van data (bijvoorbeeld zoeken naar trends / anomalieën); • Zorgdragen dat data binnen de afdeling goed wordt beheerd en van de juiste kwaliteit is: monitoren en opvolgen (Data Steward role); • Verankeren en verspreiden van kennis en vaardigheden van data analyse binnen de afdeling door het delen van expertise en samenwerken aan innovatieve projecten samen met de Finance controllers. • Samenwerken met de internationale Finance Advanced Analytics team aan het verder ontwikkelen van de expertise binnen Finance. In de rol werk je nauw samen met de collega's van Finance Information Management en je hebt veel interactie met de collega's in de rest van de organisatie. Succesvolle kandidaten zijn drijvende kracht in het doorvoeren van procesverbeteringen en het ontdekken van waardevolle organisatie inzichten. Werkomgeving Je werkt in een dynamische omgeving waar je drijvende kracht bent voor innovatie binnen Finance en de toepassing van nieuwe technieken. De afdeling Finance Business Advice (FBA) is onderdeel van ING NL en valt direct onder de CFO van ING Domestic Banking NL. Er werken ongeveer 50 mensen verdeeld over 6 teams. De doelstelling van de afdeling is om een proactieve partner te zijn die de organisatie vooruit helpt met waardevolle informatie en advies. We werken aan deze doelstelling aan de hand van onze waarden en de ING Orange Code. We hebben een hoog ambitie niveau. Jij kunt ons helpen in het waarmaken van deze ambitie door: • Het uitdagen en adviseren van de organisatie over de dagelijkse gang van zaken en over strategische business cases. • Samen met de business partners komen tot strategische plannen voor onze bankproducten en klantproposities. • Scherp sturen op beheersbaarheid van de kosten en risico's. Wie ben jij? Je bent een enthousiast, proactief persoon, die gaat voor maximale resultaten en houdt van samenwerken in multidisciplinaire teams. Verder voldoe je aan de volgende eisen: • Een Bachelor of Master in een relevant vakgebied, waarbij je bent uitgerust met ruime kennis van analyse technieken en vaardigheden; • Je hebt minimaal 3-4 jaar ervaring in een rol als data analist / data scientist; • Je bent ervaren met SAS tooling zoals bijvoorbeeld Enterprise Guide / Visual Analytics (vereiste); • Je bent een zelfstarter, die zijn/haar energie haalt uit het verkennen en ontdekken van informatie en dit kan omzetten in relevante inzichten en advies; • Je hebt ervaring in consultancy en/of advisering en kan snel komen tot kern van de zaak; • Je hebt uitstekende communicatieve vaardigheden en bent goed in het leggen van interpersoonlijk contact en het bouwen van netwerken; • Je bent vloeiend in taal en geschrift in het Nederlands en/of Engels. Wat bieden wij jou? • Full time positie (36 - 40 uur per week) • De functie wordt ingedeeld in salarisschaal 10-11 afhankelijk van kennis en ervaring. Ben je enthousiast? Herken je jezelf in het profiel en ben je enthousiast? Reageer dan meteen. Heb je vragen over deze vacature, neem dan contact op met de HR recruiter, Kamila Falana ( kamila.falana@ing.com ). Kijk voor meer informatie over ons op www.ing.jobs/Nederland
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 09-08-2018

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IT Auditor Senior Auditor Audit Supervisor

As an IT Auditor at CAS, depending on your grade (IT Auditor, Senior Auditor or IT Audit Supervisor) you will conduct, support and manage IT Audits in the Wholesale Banking domain of ING worldwide. This means that you will evaluate the design and assess the operating effectiveness of IT controls, including reviews of IT architecture, IT system development, IT operations and IT security management. The team is ambitious to be best-in-class and develops and uses advanced audit techniques, such as penetration testing and IT vulnerability scanning. IT audits are often performed in close cooperation with business auditors and relate to the latest IT developments. You will report your audit findings correctly and systematically in audit reports, including suggestions for improvement and concrete recommendations that you will present to ING Bank management. As an IT Auditor, you will work with an international team as part of the IT Audit Division. This division forms a part of CAS (Corporate Audit Services), which is a highly professional organisation with approximately 20 audit teams across the globe. Together with your other international IT audit colleagues, you will provide audit coverage on a variety of IT related audits. Key Responsibilities (A) Risk Assessment Audit Planning (RAAP) (applicable to Audit Supervisor) • Contributes to the assessment and prioritisation of auditable entities based on the importance to business objectives / value drivers, risk type significance and quality of internal control. • Contributes to preparation of the Commercial Banking Asia audit plan, the required resources, and the timing of the audits. (B) Assignment planning (applicable to Senior Auditor and Audit Supervisor) • Sets the overall audit objective, scope and approach. • Responsible for the business process analysis, assessment of inherent risk, evaluation of control design and initial assessment of residual risk. Ensures an appropriate audit work program is prepared in accordance with Standard Audit Guidance concept. • Prepares the Audit Planning Memo and Terms of Reference and obtains approval from regional and global levels. (C) Audit execution (applicable to all grades) As an IT Auditor, you will have an in-depth knowledge of technical IT environments. You use your strong analytical skills to identify the areas of focus within our IT audit strategy and individual IT audits. You are naturally proactive, critical and curious, and you search for missing information on your own initiative. You have strong verbal and written communicative skills and interpersonal capabilities. Therefore, you know how to ask the right questions and get the right information, even when you have to overcome resistance. You are accurate, creative in your solutions and you describe yourself as a team player who is capable of working in international teams, as well as independently when the task at hand requires this. Also, you are keen on self-development. Specifically, you will : • Support or Lead the execution of the audit ensuring there is independent and objective evaluation of the design and operational effectiveness of key controls and assesses the residual risk. • Monitor progress and review the activities carried out by the team according to the established audit programs / risk control matrices. • Perform testing in complex and specialised IT audits where technical experience is required. • Carry out audit activities embracing utilisation of Computer Assisted Audit Techniques as appropriate. • Ensure that stakeholders (CAS and Business) are kept regularly informed of the progress of the audit and any potential issues arising. (D) Audit reporting (applicable to all grades) • Discusses audit conclusions and reports with the managers of the business unit being audited. • Depending on the role in the audit, supports or leads the close-out discussions with audit client and management. • Depending on the role in the audit, supports or takes ownership and responsibility for the final audit report to management. (E) Audit closure (applicable to all grades) • Ensures that the audit work performed by the audit team is documented in the Audit application in accordance with the guidelines in the CAS manual. • Follows-up the closure of earlier reported audit findings and documents the results. • Performs job evaluations and provides input to the Audit Department Head regarding the quantitative and qualitative strength of the audit team. • Where applicable provides feedback on the Standard Audit Guidance to the owner. (F) Risk monitoring and Communication (applicable to all grades) • Develops and maintains excellent relationships with IT Management and Information Risk Management. • Contributes to the CAS Risk Monitoring Framework in capacity as IT Co-Ordinator. • Ensures that stakeholders are actively kept up to date (no surprises) and negotiates, influences and communicates with audit clients to better understand underlying risks. • Participates in various IT Steering Committees to monitor risk and control developments. • Works pro-actively with other CAS units around the world to build a network and ensure a consistent audit approach. Pre-requisites (depending on a grade, more leadership skills are expected) • A bachelor or master degree in IT, preferably in IT Security, IT Risk Management or IT Audit. • In-depth technical knowledge of IT technologies and IT security architecture applied to operating systems, network infrastructure, database management systems and web servers. • Knowledge of banking products and processes would be plus. • Hands-on working experience in IT security, IT risk management or IT audit functions. • Experience with international and complex organisations. • Experience with vulnerability assessment tools (e.g. Nessus, Nexpose, OpenVAS). • Experience with penetration tools (e.g. Metasploit. Wireshark, Kali Linux). • Experience with data analytics tools such as IDEA, ACL or equivalent. • Certified Information Systems Auditor (CISA) or equivalent would be plus. • Willingness to travel. For more information please contact Pawel Debosz at Pawel.Debosz@ing.com
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 09-08-2018

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Ifrs Policies Business Consultant

Main objectives and key responsibilities of the job include: • Identifying accounting change and analyzing their impact on ING • Developing the accounting policies to be used by ING and all the Business Units for financial reporting in the annual accounts, based on IFRS and Dutch laws • Identifying, monitoring and participating - at both a national and international level - in new developments regarding financial reporting by, financial institutions, particularly with respect to IFRS • Consulting with other financial institutions both nationally and internationally, as well as with regulatory/supervisory bodies, ensuring that ING's positions regarding financial reporting gain maximum support. • R eviewing the content of the financial reports to be published by ING, in compliance with the applicable laws and regulations. • Acting as contact for Group and Business Line Management regarding technical issues on financial reporting. • Advising Management on positions to be taken in national and international consultative bodies related to financial reporting. • Providing education and training to Group management and business units regarding (developments in) ING's principles for financial reporting. • Providing support and advice to other Group Staff departments with regard to accounting/reporting issues. Your work environment Based at the Global Headquarter s in Amsterdam the Netherlands, and reporting into the Group Controller of ING Bank, the Policies & Procedures (P&P) team monitors (inter)national developments with regard to financial reporting and supervision for banks, translates these developments into the global policies of ING Group and advises ING Group's Executive Board and Business lines on the application thereof. The team consists of 1 2 accounting and regulatory specialists. Your profile A successful candidate will be a leader who possesses the technical IFRS knowledge and expertise to execute this role effectively, but who also has superb business acumen and communication skills to help the business and its stakeholders understand, relate to and institutionalize key elements of his/her agenda. In addition, he/she will possess a highly ethical and professional "executive" demeanour, along with sound judgement and the confidence to represent the company in both formal and informal settings. The candidate should have exceptional influencing skills, being assertive without being antagonistic or alienating. Relationship building with the external community is key for success in this role, In addition, he / she will have the demonstrated ability to work effectively as a business partner and loyal confidante to the senior executives, as well as other internal clients. He / she will also bring a global perspective and cultural sensitivity.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 08-08-2018

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Finance Noord Holland Den Helder
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Junior Controller Certificates

Key responsibilities: Daily Activities: • AP/ AR on Certificates: Green, Carbon, White, Broke • Control payment batches and ensure they are generated in a timely manner. • Ensure that all reasonable discounts and volume differences are taken on accounts payable, and match with closed contracts. • Make sure all accounts receivable are generated in a timely manner according contract. • Maintain an orderly accounting filing system • Manage the Dunning process (reminders) • Bank Administration • Control the Credit Card Administration • Control the Operational expenses Administration • Being an advisor/sparring partner for the traders to help them closing the best tailor made deals. Monthly close: • Reconcile the Administration (NAV) results with the contract administration (sub-administration) to ensure monthly figures are correct and complete. • Generate PNL sheet to confirm trader PNL's. • Generate Dashboards including PNL and soft KPI's for the traders (call stats, managers targets) • Control together with the Mid-office/Risk department the Foreign exchange exposure resulting of the AP/AR is covered. • Reconciling the Intercompany accounts between ACT's different entities. Job requirements • Bachelor or Master degree in Finance direction • Graduate/ Circa one years of accounting work experience • Fluent in Dutch • Microsoft Office proficiency and Advanced knowledge of excel • Experience with CRM system, Power BI, NAV is a plus • Experience with commodity trading and financial instruments is a plus • As a Junior Controller you are hardworking, ambitious and stress resistant Compensation & benefits • A competitive salary; • An independent role in a great atmosphere; • The opportunity for coaching sessions with an external life coach every week; • Exciting events including a yearly international company weekend; • An inspiring design office with an indoor football field; • Friday afternoon drinks in our in-house bar and external locations.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 08-08-2018

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Finance Noord Holland Amsterdam
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(Junior) Equity Research Analyst (Amsterdam) Amsterdam

Your job As an Equity Analyst your will be mainly focused on the active coverage of approximately ten listed companies in Europe within a specific sector. You will form an opinion (BUY, HOLD, SELL) on the stocks that you cover and be responsible in keeping our customer base (of institutional investors) up to date. To form your opinion on the stocks you are in touch with senior management (CEO / CFO) and the Investor Relations teams of the companies you cover. You also closely track the markets in which these companies operate. You aim to build a relationship with the investors who invest in your sector. Internally you will have daily contact with the sales and sales trading teams, which are responsible for the account management of our customer base. Given your specific focus on equities in a specific sector, you will strive to further improve your sector knowledge by visiting trade shows and other industry events. Your working environment As an analyst you will work within the Equity Research team, which is part of ABN AMRO's Global Markets division. ABN AMRO's equity research team is responsible for investment recommendations to institutional investors. These recommendations are the foundation for our service to clients in Europe and the United States. The team of analysts keeps track of stocks in primarily the Benelux. Beyond the regular stock coverage, we are also involved in a variety of Equity Capital Markets transactions such as initial public offerings (IPO), Accelerated Book Build (ABB) placements and rights issues (RI). Over the past 5 years we have consistently been the number one broker in the Institutional and / or Extel rankings. Our ambition is to consolidate on our number 1 position. Your mentality, in combination with the time and effort you want to put into the job, should match that of a market leading franchise. Your profile You are a passionate, hard-working professional with an eye for our clients' needs. You have integrity, a quantitative mind and strong analytical and writing skills. Working well under pressure, you have the ability to multi-task and excel in an environment with time-sensitive deadlines. You are a strong communicator, in speech and in writing, and you know how to strike the right chord in every conversation. With your sector and equity research knowledge you are a respected discussion partner on board management level. Do you think you're a good fit? Check out your profile: Hard Requirements: • MSc degree • Strong communication skills in English, both verbally and in writing. Working knowledge of Dutch language • Excellent modelling skills (particularly in Excel) and financial accounting knowledge • Self-starter, must be organized and able to work independently • Required work experience - Junior position: 0-2 years; Medior position: 2-4 years of relevant work experience within the sell-side • European passport or eligible to work in the Netherlands • DSI registration or willingness to complete this on short notice. Advantages / soft requirements • CFA • Preferably a link with the Netherlands as your home base / future place of residence • Commitment to task and an attention to detail • Good personal skills and the ability to maintain and expand (commercial) relationships at various levels • Affinity with financial markets • Basic understanding of programming languages What we offer Global Markets offers you a dynamic and energizing working environment where you are challenged to develop yourself to your full potential. At ABN AMRO, we use our knowledge, expertise and network to help our clients within and outside the Netherlands achieve their goals based on responsible decisions. Our clients' interests always come first. We want clients to understand our products, and we sometimes say 'no' if a product involves a risk that is too high for the client. Putting clients' interests first also means communicating in plain language and crafting smart solutions that genuinely make a difference. That is our goal.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 07-08-2018

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Finance Noord Holland Amsterdam
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Senior Principle Finance Control

ING Group Finance / External Reporting / Statutory reporting 36-hour working week (extension to 40-hour possible) Group Finance is looking for a Senior Principal Finance Control with a statutory reporting background and a desire to work in a dynamic and internationally oriented finance team at ING's Head Office. Your Work Environment Group Finance/ External Reporting is the corporate staff department that is responsible for the external financial and regulatory reporting. Within Group Finance, the statutory reporting team is responsible for the IFRS consolidated financial statements and SEC reporting. Also the team provides consolidated financial overviews for the quarterly financial press-release, bond prospectuses, Audit Committee presentations etc. The work includes maintaining the day-to-day relationship with the auditors, other corporate staff departments and taking the ownership for setting the requirements of the reporting process, control model and data requirements underlying the different reports. This is a dynamic environment as requirements and expectations of all stakeholders are continuously increasing. Besides external stakeholders, which includes auditors, supervisors, but also industry groups, the department supports internal stakeholders by providing insight in key developments and advising on the impact of statutory and financial developments. Tasks & Responsibilities Within the department you will become part of a team that is mainly focussed on: • Preparation of the annual- and interim financial statements of ING Group N.V. and ING Bank N.V. as well as the SEC reporting (form 20F/ 6K); • analysing and understanding the key developments in the consolidated statutory (related) reports; • Participation in projects to implement new accounting standards, improve the reporting processes and data quality; • To maintain a solid control framework to ensure the integrity of ING's statutory reports, including the interdependencies with other domains, and on a sample basis test the effectiveness of the key controls in place; • The functional ownership and maintenance of the ING Group standard chart of accounts, consolidation and report structures etc. Within the team you are one of the key persons who contributes to the consolidated quarterly- and year-end financial reporting of ING. Together with the team you are responsible that the statutory financial reports of ING comply with IFRS and SEC requirements. Your main tasks are: • You review notes/ disclosures on consolidated level and liaise with Finance network team to follow-up on questions/ corrections. • You are the owner of certain notes/ disclosures allocated within the team. For those notes you ensure sufficient level of control over the information provided by local entities and document your controls for Sox/ audit purposes. • You contribute to the consolidated analytical review memo and provide input for the narrative and tables to be included in the Annual Accounts. For certain topics you prepare, usually in cooperation with the Policies and Procedures department, accounting memo's for Senior Management, Disclosure Committee or Audit Committee. • Advise management on the impact of changes during the implementation of statutory requirements and present an impact analysis; • Discuss business-as-usual topics with the ING IFRS-policies team and the accountant; • You work together with specialists from other staff departments (corporate communications, sustainability, legal, risk etc.) in order to complete the various sections in the ING Group Integrated Report. Knowledge & Experience • The successful candidate will have experience in the area of reporting and/ or auditing and has in depth and up-to-date knowledge of IFRS and preferably SEC reporting requirements. • You have more than 7 years working experience within international and listed companies, preferably in the financial sector. • Fluent in English, both written and verbal. • He / she will also bring a global perspective and cultural sensitivity; Behaviours & Competences • Relationship building is key for success in this role; • Superb analytical skills, with the ability to understand the "big picture" while having an eye for detail; • Good communication and persuasion skills and be able to present complex issues in a simple and understandable way to both internal and external stakeholders; • Have a pro-active attitude and ability to operate in a demanding and changing environment; • Team player that can build bridges across functions; Education You can demonstrate that you hold at least a Master degree in the areas of accountancy (RA) or business administration. For more information please contact Łukasz Wolski ( Lukasz.wolski@ing.com ).
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 03-08-2018

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Finance Noord Holland Den Helder
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European Treasury Manager

Job description Albemarle Corporation is seeking a Treasury Manager to be based in Amsterdam, Netherlands at its subsidiary, Albemarle Finance Company BV. This site operates as a European Treasury Center in support of Albemarle's businesses and functions. Essential Responsibilities: • Manage day-to-day cash positioning for the Treasury Center pool structure; provide sufficient daily liquidity; execute funds movement and appropriately invest excess cash balances. • Manage the underlying clearing/current general ledger accounts which serve to Pay on Behalf Of and Receive on Behalf of affiliated companies. • Provide oversight and support for cash accounting and financial Close processes for treasury related activities, which may include inter-company loan positions, global multi-currency netting, foreign currency exposure management, preparing and analyzing cash flow forecasts, and daily treasury operations management. • Interact with a variety of functional areas within the company, including Controllers, Tax, Legal, Audit, and the Business. Lead and/or participate in cross functional projects related to strategic treasury initiatives. • Manage guarantee and letter of credit issuances and associated fees. • Manage and monitor specified cash investments. • Manage monthly global netting process for intercompany settlements. • Manage within the established SOX controls; evaluate and recommend improvements which enhance the control environment. • Manage cash forecasting, by entity, working with global treasury team to ensure a consolidated global cash forecast (short/medium/long-term horizons). • Perform as a backup to Global Treasury Manager for any debt, investment or key treasury activities. • Support foreign exchange exposure management and evaluate solutions in relation to financial risks (FX, interest rates and commodities); assist with hedge execution and hedge accounting documentation, as appropriate. • Support analysis and implementation related to various strategic treasury projects, as required. • Partner with Treasurer and Assistant Treasurer on regional bank relationship management. • Manage local treasury staff • Build and maintain awareness of leading treasury practices, identifying and recommending opportunities to advance department toward best in class. • Prepare and provide various reports in close cooperation with all internal and external parties involved. • Accountable for internal and external audit results within areas of responsibility. • Ensures that Albemarle practices and policies are appropriately followed.Other duties, as requested. Required Minimum Qualifications: • Bachelor's degree in business, accounting, finance or similar field • Minimum of 5-10 years related work experience in treasury, banking or similar role • Demonstrated experience in managing global cash and knowledge of principles of liquidity management and corporate funding • Working knowledge of financial risk management principles, including hedge accounting • Excellent process improvement, business acumen, and technical skills to support a variety of activities, including complex modeling for cash and interest forecasts • Solid analytical competence and robust financial modeling capability using Excel • Self-motivated with strong multitasking proficiency • Effective written and oral communication skills • Sound judgment and strong decision-making skills • Demonstrated experience managing project teams and working cross-functionally Preferred Qualifications: • Experience managing domestic and foreign bank and investment accounts • Experience executing spot and forward foreign currency transactions • Demonstrated financial derivative experience, including development of hedge documentation • MBA or master's degree in accounting, finance or similar field • CTP, CPA or CFA certification • Supervisory experience Choose to unlock your full POTENTIAL. Apply today via the 'Apply' button. Agency calls are not appreciated.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 03-08-2018

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Finance Noord Holland Amsterdam
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Finance Business Analyst Data Management

Your new job! The Finance COO department delivers Finance-related services to its stakeholders, i.e. Group Finance, country CFOs and Wholesale Banking, Risk, Tax and Bank Treasury. These services encompass operations and change initiatives for accounting, reporting, utilities, data foundation and business advice services, including system, process, data and information management and analytics capabilities. By design, the services are reliable, secure and in control. Change is delivered in accordance with the Finance strategy and implementation and decommissioning roadmap.. We are looking for a Business Analyst for the Data Foundation Tribe. The Data Foundation tribe provides Finance & Risk with relevant, correct and harmonised data for its processing and to enable the change from report-driven to data-driven, while also enabling ING Finance & Risk to manage its end-to-end data flow in a structured and standardised way. What you will be doing You analyse complex Finance business issues which exceeds Squads and/or Tribe, for the purpose of bringing complete solutions for the requested change. As a Data Foundation business analyst you will be working on the data management capability of the FCOO organisation. Data definition, data mapping, data lineage data quality, data governance are the areas of focus. You deliver excellent substantiated analysis using the latest state of the art techniques and tools which lead to functional designs that cover all change deliverables focued . You are focused on data analysis, modelling, mapping and quality, and the translation to solutions that work. You support the Finance Journey Expert (FJE) and take care of the coordination of the content between the different FJE's and specialists from the different domains. You ensure that all requirements of all relevant stakeholders are acknowledged in the analyses and the different solution designs. You support Tribes and squads to take decisions by presenting the different (functional and solution) design alternatives and their impact in a clear way. You guarantee that the business requirements and non-functional requirements are translated to the IT Solution requirements. You co-operate with (IT)-architects and -specialists to arrive at a suitable IT solution. Therefore you make a number of coherent analysis: • Requirements analysis : You elicit sets of coherent requirements. You take care that the requirements are complete, consistent, of good quality and that they are translated correctly in the design and are maintained and if necessary are adjusted if changes occur. You support the product owners and the squads in managing the backlog by translating and prioritizing the epics to features and together with the squad into user stories. • Data Analysis and Technical Review: collect and analyze data, define complex technical reviews, execute data quality checks, measure & report data quality issues, resolve errors and structurally improve data quality • Data Management: define and manage data elements and quality criteria, analyse data flow (enrichments, transformation, ...) from sourcing to output, keep documentation and share knowledge • Data Quality Improvement : define solutions to tackle data quality issues, work with IT to implement, put in place new working methods or update processes with process owners, guarantee follow up • Process analysis: You analyse the current situation, the problems that occur and the underlying causes. Based on these analysis you provide clear process designs • Information analysis: You analyse the necessary input, output and adjustment of data in the client processes. You analyse the information need. You investigate the quality of the captured data and come up with solutions to improve the quality. • Risk analysis: You can translate the policy and regulation of ORM, Compliance and Legal to design solutions. Besides these analysis your work includes: • You are able to explain and present the solutions clearly to stakeholders and receive their input and feedback. You provide them with (functional and solution) design alternatives and their impact on which decisions can be made. • Results of the analysis are captured in the chosen standards through which the implicit is made explicit (BABOK standards). • Your analysis are executed with the support of Business Analysis products as domain models, logical data models, impact analysis, feasibility studies etc. • You substantiate choices and options on preferred solution(s) by drafting alternatives, feasibility studies, impact analysis, decision sheets and business cases. • You support the delivery of solutions with an iterative and incremental agile approach by cooperating in refining the roadmap for overall solution(s) with partial deliveries (releases, minimal viable products) and by adjusting requirements and designs based on measurable experiences and feedback. • You support the verification and validation of solutions by analysing and setting up acceptance criteria based on the requirements and by defining of scenario's and use cases. • You help to translate solution design into training material- and work instructions for employees. • You introduce knowledge of best practices from inside and outside ING. You contribute to an optimal re-use of solutions. What we are looking for We are looking for an enthusiastic and energetic professional with a passion for optimising user experiences. You are energised by working on concrete and tangible results in a complex and continuously changing environment. You know exactly how to empathise with the needs of your users and translate this into standard and innovative products. You have a clear vision on the area of expertise of the squad, including both excellent Finance knowledge and knowledge of business analysis techniques and methods. You have a strong drive to keep your expertise up to date and have the ambition to continuously improve yourself on a personal and professional level. Your education, experience and background • Professional and intellectual ability at least at academic level. • University (Bachelor's/Master's) degree in (business) informatics/ information science or a comparable field (e.g. technical business management) • At least 2-5 years' proven track record in the business analysis field and/or proven Finance knowledge • You are very analytical and take decisions based on data and facts. • You are a strong communicator and can present your work in a clear manner. • Knowledge of and experience with Agile and the Lean way of working. • Excellent communication skills in English (Dutch will be an asset). • You actively ask for help and feedback and are not afraid to give feedback. • Affinity with IT. • You put your own interests second to the concern of the chapter and squad. • You actively keep up your professional knowledge and have a clear vision on your area of expertise. • You like to work in a multidisciplinary squad. • You take responsibility to get the work done. • You continuously improve the way you work and you strive to work as a high-performing team. • You easily adapt to a new environment. • You continuously improve yourself and you help your colleagues in their development by giving feedback. For more information please contact Kamila Falana ( kamila.falana@ing.com )
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 31-07-2018

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Finance Noord Holland Den Helder
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Credit Risk Audit Specialist 2

Credit Risk Audit Specialist ING is looking for... Corporate Audit Services (CAS) conducts and coordinates operational audits within the area of Credit Risk Management. The Credit Risk Audit Specialist, together with a team of auditors and credit risk specialists, plays an important role in providing assurance within this area with a worldwide coverage. Job description As a Credit Risk Audit Specialist you are primarily responsible for adding value to the organisation via performing audits. Professional as you are, you are involved in and leading multiple audits throughout the year and are working closely together with your team members and other CAS colleagues. This includes analysis of documentation and data, interviews with responsible business managers, testing of effectiveness of controls and audit filing and report writing. Audit findings are reported including suggestions for improvement and concrete recommendations, and presented to senior management. Next to leading and providing support to operational audits, you will also play a crucial role in analysing and communicating trends and developments in the area of Credit Risk Management. This will enable you to come with suggestions for the adaption of these trends and developments in the audit strategy and audit planning. In line with this you will play a pivotal role in providing assurance at global level within the area of Credit Risk Management. You also play an active role in knowledge management by providing trainings in the area of Credit Risk Management to audit professionals within the global CAS Bank organisation and to share your specialist knowledge. Your work environment As a Credit Risk Audit Specialist you will be located in Amsterdam within the Credit Risk audit team. This team is part of the CAS Audit Division Risk & Finance. CAS is a highly professional organisation with approximately 20 audit teams across the globe and comprises a diverse international team of around 350 members. You will work in a positive working atmosphere where people are used to an open communication style. Education and training is highly supported and innovation like for instance increased use of data analytics in audits is stimulated. Your profile Awareness of credit risk processes and infrastructure and an understanding of credit risk regulations as well as credit risk measurement, including regulatory/economic capital calculations and loan loss provisioning is important. You also have an understanding of internal audit processes. Strong verbal, writing , analytical and interpersonal skills helps you to ask the right questions and get the right information; also when you have to overcome resistance first. You are accurate and describe yourself as a team player who is very capable of working in international teams. Furthermore, you adhere to the ING values and it is evident for you that your behaviour is fully aligned with these values. You are also prepared to take the Banker's Oath. For more information, please visit http://www.ing.jobs/Netherlands/Why-ING/This-is-ING-too/ING-Values.htm Skills required Furthermore you: • have an academic degree and are preferably in the possession of a certification in Risk Management or in Internal Control / Administrative Organisation. • have some (international) experience in complex organisations and a bird's eye view and knowledge of ING's business and market risks, and associated controls. • have (preferably) up or beyond several years relevant work experience in credit risk management and/or audit and internal control within a major bank or financial institution. • are fluent in English (fluency in other languages is much appreciated). • are willing to travel 6-10 weeks per year. What we offer This is a full-time position of 36 or 40 hours a week. ING Bank offers an attractive employee benefits package with excellent secondary labour conditions, that more than meet market conditions: • Excellent salary (job scale 11). • a 13th month's salary. • 27 days holiday. • an annual public transport pass (OV-jaarkaart). • several other advantages as can be read in the banking CLA. Interested? Apply directly online, click on Apply for this job. Please send your CV and motivation. We are looking forward to your application! For more information on vacancies please check www.ING.nl/carriere For more information please contact, Kamila Falana ( kamila.falana@ing.com )
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 31-07-2018

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Finance Noord Holland Den Helder
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Principal Finance Control

Your Work Environment Group Finance / External reporting is the corporate staff department responsible for the external financial and regulatory reporting. Within this department, the Group Finance Network team is responsible for the control and oversight function of Group Finance towards ING's global network. In this capacity the team is the linking pin between Group Finance and the locations and maintains the functional relationship with both the local finance departments, business unit finance departments and the finance service centre. This includes maintaining the day-to-day relationship and taking ownership for management of the global reporting process. The various stakeholders are supported with instructions, interpretations, and advice regarding reporting requirements. This is a dynamic environment as requirements in financial and regulatory environment are continuously increasing. Task and Responsibilities You will be part of a team that is mainly focused on analysing and understanding the key developments in the data submissions from locations and the finance service centre, but also ensures the compliance of those submissions with statutory and regulatory requirements. The objective is to ensure timely, accurate and complete data submissions from locations so that ING can comply with the reporting requirements at all times. The main tasks are: • Be the first point of contact for locations and other data delivery parties, and in that role ensure that the global financial and regulatory reporting process works efficiently; • Prepare and send quarterly instructions to the locations and other data delivering parties and manage the global reporting process; • Oversee the accounting and reporting impact of large transactions within or cross-business units such as intercompany transfers, legal mergers, divestments or acquisitions etc.; • Perform an analytical review to understand developments in the reports, based on your knowledge of the local business, and check consistency between reports; • Reviewing and challenge all submissions from the locations regarding statutory and regulatory reporting. Perform thematic reviews or deep dives; maintain a solid control framework towards the entities to ensure the integrity of ING's statutory and regulatory reports, including the interdependencies with other domains, by reviewing sign-offs, in control statements, doing site visits etc.; • Execution of Group Finance owned controls in the reporting process (coordination sign off of the letter of representation and goodwill impairment testing) Knowledge • Profound knowledge of IFRS, including IFRS 7, 9, and 13 and/or, profound knowledge of the CRR, specifically liquidity (LCR) and FINREP. • At least Bachelor's degree, preferably in the areas of accountancy, business administration of finance and control. • MS Office (Excel, Word, PowerPoint and Access). Behaviours and Competences • Analytical skills to perform analytical review on statutory and regulatory reports and the ability to challenge assumptions and perform an impact analysis on reporting issues. • Communication and persuasion skills to perform relationship management with international stakeholders using a global perspective and cultural sensitivity. • Pro-active attitude driving problem resolution, process enhancements and regulatory reporting changes (projects) with tenacity. • Collaboration skills, team player with the ability to operate independently (self-starter) and to build bridges across functions • Presentation skills with ability to translate complicated reporting issues and requirements into key messages. • Fluent English (verbal and writing) • Ability to cope with work-pressure and work with deadlines being dependent on others. • Ability to travel Experience • By preference more than three years of experience in external reporting in the banking industry • Financial audit experience is an advantage • Experience in the implementation of regulatory reporting changes (projects), and resolving reporting issues including stakeholder management. • Presenting reporting issues in key messages to a broader senior audience In case of queries, please contact Łukasz Wolski ( Lukasz.wolski@ing.com ).
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 24-07-2018

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Finance Noord Holland Den Helder
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Senior Analyst Capital Management

We are looking for a senior analyst to strengthen the Balance Sheet & Capital Management department within the Group Treasury. Job description Your role will be to make sure ING is respecting internal risk appetite with regards to Interest Rate and FX risk on Capital. You further develop a Management Buffer concept, which includes all major risks to capital ratios. You work on solutions for internal capital instruments. Your key counterparts are within Treasury and risk management. You develop an unified view, together with Risk Management, on adverse scenarios. You create ideas on how to improve capital allocation within the bank. Your working environment Capital Management is tasked to optimize ING's capital and debt position in order to meet regulatory requirements, while supporting business growth, ensuring coupon payments and rewarding shareholders according to a progressive dividend policy. The department is the gatekeeper of all internal capital flows and acts, in close cooperation with other departments within Group Treasury, as the execution arm of the Board on market transactions to secure the capital supply necessary for implementing all strategic initiatives. Furthermore, the department advises the Board on dividend policy, capital allocation, contingency planning, cost of capital as well as many other strategic priorities. Who are we looking for? Your profile Knowledge and experience: • Master's degree in finance or engineering with above-average academic grades • > 8yrs of work experience in Capital Management, Financial Markets or Market Risk. • Sound knowledge of financial instruments and interest rate risk management • Knowledge of liquidity, interest rate and fx risk, understanding of financial accounting of financial markets products • Knowledge about economic capital and capital allocation • Track record in managing and delivering complex change and stakeholder management at senior level in the organisation • Comfortable and experienced in interacting with senior management, Finance and Risk teams throughout the organization • Excellent VBA programming skills Competencies: • 'Track record' of orange code behaviours • Excellent / native level in written English • Strong analytical and commercial skills • Result driven; risk aware • Systematic and structured way of working • Strong ability to communicate complex concepts and ideas both verbally and in writing • Excellent interpersonal skills, multicultural awareness and sensitivity • Ability to operate individually but in a team as well What do we offer? The position is a fulltime function, 40 hours per week. The job grade indication is 12. Interested? Click on Apply and upload your CV and Motivation. For more information please contact Arthur Krovka at arthur.krovka@ing.com
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 19-07-2018

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Finance Noord Holland Den Helder
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Finance Expert Data Management

Your new job! The Finance COO department delivers Finance-related services to its stakeholders, i.e. Group Finance, country CFOs and Wholesale Banking, Risk, Tax and Bank Treasury. These services encompass operations and change initiatives for accounting, reporting, utilities, data foundation and business advice services, including system, process, data and information management and analytics capabilities. By design, the services are reliable, secure and in control. Change is delivered in accordance with the Finance strategy and implementation and decommissioning roadmap.. We are looking for a Finance Journey Expert for the Data Foundation Tribe. The Data Foundation tribe provides Finance & Risk with relevant, correct and harmonised data for its processing and to enable the change from report-driven to data-driven, while also enabling ING Finance & Risk to manage its end-to-end data flow in a structured and standardized way. What you will be doing You will participate in a squad as a Finance expert within one of the tribes. You will be actively involved in the maintenance, development and realization of (new) products/services for the users. As an expert, you deliver the necessary knowledge and skills to make standard and best products/services for your users. Besides that, you continuously deepen and broaden your knowledge and skills in your area of expertise within your chapter. Your activities will be in the area of: • setting (detailed) Finance requirements; • configuring business rules and building reports; • executing acceptance and other testing; • developing/maintaining documentation to clarify the working of functionality for end users, such as user manuals and Quick Reference Cards (QRCs); • daily checking of EOD (timeliness, correctness, completeness, reconciliations, ledger); • second-line support; • onboarding activities. What we are looking for We are looking for an enthusiastic and energetic professional with a passion for optimizing user experiences. You excel in one of the areas of Finance, Finance reporting or Finance processes and how they are supported by the tribe's applications . You are energized by working on concrete and tangible results in a complex and continuously changing environment. You know exactly how to empathise with the needs of your users and translate this into standard and innovative products. You have a clear vision on the area of expertise of the squad, including both excellent Finance knowledge and knowledge of assets and tooling used. You have a strong drive to keep your expertise up to date and have the ambition to continuously improve yourself on a personal and professional level. Y ou have at least 5 years experience in one of the following areas Finance or Risk Areas; Financial and/or Management Accounting; Statutory & Regulatory Reporting Knowledge: • Proven banking knowledge - senior level • Mainly Data Driven Regulations e.g. AnaCredit; SHS; RRE • Proven banking product knowledge - medium level; Product functionality knowledge • Affinity with IT including basic IT knowledge (Oracle DB, PLSQL) Skills • Clear communication (verbal, writing) • Experienced (medium) in working Agile/Scrum Your education, experience and background Professional and intellectual ability at least at academic level. University (Bachelor's/Master's) degree in (business) economics or a comparable field. At least 5 years' proven track record in your area of expertise or proven Finance knowledge, especially in your area of expertise. You are very analytical and take decisions based on data and facts. You are a strong communicator and can present your work in a clear manner. Knowledge of and experience with Agile and the Lean way of working. Excellent communication skills in English and Dutch will be an asset. You actively ask for help and feedback and are not afraid to give feedback. Affinity with IT. You put your own interests second to the concern of the chapter and squad. You actively keep up your professional knowledge and have a clear vision on your area of expertise. You like to work in a multidisciplinary squad. You take responsibility to get the work done. You continuously improve the way you work and you strive to work as a high-performing team. You easily adapt to a new environment. You continuously improve yourself and you help your colleagues in their development by giving feedback.
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 17-07-2018

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Finance Noord Holland Den Helder
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Product Specialist Lending (Amsterdam) Amsterdam

At a glance Global Lending & Daily Banking is part of the Global Products & Solutions department of the Private Bank which develops all financial solutions & services for the Private Bank in 6 markets globally. Global Lending & Daily Banking is the global center of expertise for long term strategy, delivery and maintenance of top class lending products, saving & liquidity products, daily banking products as well as data quality management. The vacancy for a (medior) Lending Specialist is mostly on the lending department, however some other relevant and interesting work and/or project can be part of the job. The job holder has to operate in an international setting and in a mix of cultures. Your job The job is a combination of own responsibilities and projects as well as assisting actively the senior lending product managers in developing the global lending portfolio. Examples are organising the Global Lending MT meetings, develop trainings around lending solutions and products, lending product review processes, communication and, very important, develop new innovative lending solutions as the lending world is rapidly changing due to digitalisation, scale, PSD2 etc. Your working environment You will be working in a highly professional team in and with a international setting with a interesting and complex stakeholderfield. We are responsible for very large lending- and savingsportfolio which, together with all daily banking products and data quality management, represents app. 50% of the revenues of PB. We work closely together and like to have a laugh! Your profile We are looking for a open and innovative colleaque who is able to think independently, dares to speak and tries and comes up with new ideas. Just do it mentality. University of HBO degree. With some relevant (client) banking experience. Knowledge and experience in the different risk fields is important as is preferable experience with lending products or portfolio management. Excellent in MS office and fluent in English, both verbal and in writing. Additional Competences: Client centricity, Continuous Improvement, Planning&organisation, Creative, organisational sensitive, cooperative, positive towards change What we offer A very interesting job in a international setting with a dedicated and open team! Focus on learning and development, training on the job and lots of possibilities to develop a broad and deep understanding of private banking and lending products and portfolio in general. Job is hay 9 with possible growth to hay 10. If you are the open and innovative professional we are looking for please contact us!
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Amsterdam
  • Plaatsingsdatum: 14-07-2018

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Finance Noord Holland Amsterdam
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ING Group Treasury Associate Finance Control

ING Group Treasury - Associate Finance Control You are working for the ING Group Treasury Finance department. At Group Treasury all the bank's funding related risks come together and are mitigated in numerous ways. Working in this area means working at the core of the bank as you learn what a bank does in between attracting savings and other types of funding on the one hand and lending and investing it on the other hand. You can therefore regard it the 'wallet of the bank'. As an Associate Finance Control you are able to make sense of the financials of these activities. This provides a valuable basis for your future career as it enhances both your understanding of banking and your development as a finance professional. Your tasks will include: Analyse P&L and balance sheet development based on in-depth portfolio knowledge of treasury business; Advise on hedge accounting and complicated transactions; Provide analytical review on financial close figures and regulatory ratios such as LCR, NSFR; Make rolling forecast and present financial to senior management; Participate in treasury related projects; Keep regular contacts with Treasury Front office trading desk, financial/regulatory accounting and management accounting departments. We offer: A steep learning curve of the core functions of the banking business, how a bank operates, particularly where does the money come and go; A challenging setting to make the connections between the frontier of the bank and the finance world; A position in which you work with and learn about financial markets products the bank uses to manage its risk and funding needs; A combined exposure to both management accounting as well as financial and regulatory accounting and reporting; The opportunity to grow your network in an international environment of experts from different disciplines (finance, risk, front office/economics). We are looking for highly motivated professionals with the following: An academic Master degree in areas of Finance, Economics and Business Administration; Strong analytical skills with an eye for both details and helicopter views; Pro-active and ability to communicate effectively with different people from various areas; Fast learner with ability to work under pressure and tight deadlines; Knowledge of financial market products, accounting knowledge and banking experience will be big pluses; Up to three years of working experience. Starting date: as soon as possible Job scale: 9
Extra gegevens:

  • Omschrijving: finance
  • Plaats: Den Helder
  • Plaatsingsdatum: 28-06-2018

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Finance Noord Holland Den Helder
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woensdag 22 augustus 2018 07:23