This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
As a Senior Treasury Analyst within the Balance Sheet Management (BSM) team, you will help us manage the financial risks on Adyen’s balance sheet. You will dive-deep into the mechanics of our balance sheet to steer liquidity, FX and IRRBB, while optimizing the capital structure in a shifting global market. We expect you to create proposals to steer the balance sheet, remain up to date with regulatory requirements and ensure sensible monitoring is in place.
Job Responsibility:
Analyze the monthly liquidity dashboard and prepare a proposal to steer one of the metrics
Drive a conversation on Funds Transfer Pricing (FTP) and capital structures
Partner with technical teams to build automated tools that provide real-time insights
Act as the bridge between Treasury and the wider business
Manage financial risks on Adyen’s balance sheet
Steer liquidity, FX and IRRBB
Optimize the capital structure in a shifting global market
Create proposals to steer the balance sheet
Remain up to date with regulatory requirements
Ensure sensible monitoring is in place
Requirements:
3-5 years of experience in the ALM (Risk) or B2B field
Deep affinity for how a financial institution’s balance sheet behaves
Understanding of the interplay between liquidity, FX, and IR risk
Ability to connect high-level growth strategy and granular treasury operations
Ability to translate complex financial risks into clear, actionable guidance
Proactive problem solver thriving in a dynamic, rapidly changing environment