Intern - Treasury Front Office- Liquidity Management (f/m/d)

Internship 4 to 6 months

Luxembourg

Published on February 20, 2025

  • Contract

    Internship 4 to 6 months

  • Location

    Luxembourg

  • Start date

    As soon as possible

  • Salary

    Information not provided

  • Remote working

    Not specified

Clearstream Luxembourg (Deutsche Börse Group) illustration
Build the future of financial markets. Build yours.

Ready to make a real impact in the financial industry? At Deutsche Börse Group, we'll empower you to grow your career in a supportive and inclusive environment. With our unique business model, driven by 15,000 colleagues around the globe, we actively shape the future of financial markets. Join our One Global Team!

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Who we are

Deutsche Börse Group is one of the world's leading exchange organisations and an innovative market infrastructure provider. With our products and services, we ensure that capital markets are fair, transparent, reliable, and stable. Together, we develop state-of-the-art IT solutions and offer our IT systems all over the world.

Within the Deutsche Börse Group, Clearstream is an international central securities depository (ICSD). It provides post-trade infrastructure and securities services for the international market and 59 domestic markets worldwide, with customers in 110 countries.

Luxembourg

Your career at Deutsche Börse Group

Your area of work:

Liquidity Management in Treasury involves ensuring all payment obligations are met timely, ensuring reduction of commercial bank exposures intraday/overnight. The Liquidity Management team along with Trading team operate a global business managing more than 40 currencies in order to maintain financial stability and avoid liquidity crises that could disrupt business operations. The treasury team also monitors money markets, key interest rates and manage our investment portfolio in line with the Investment and Liquidity management policies.

As an intern in Treasury Front Office- Liquidity Management, you will support the team in the Treasury Front office department significantly with the Liquidity Management/ Trading team.

Your responsibilities:

  • Support the Liquidity Management team in daily operational reporting and intraday liquidity management tasks
  • Participate in special projects/analysis with regards to Liquidity Management/Trading related topics
  • Support in identifying and driving potential automation of tasks
  • Ensure quality, accuracy and consistency of your work with high attention to details
  • Work in close collaboration with the Liquidity Managers and Traders
  • Ad hoc administrative tasks if required

Your profile:

  • You are enrolled in a Bachelor's or Master's Degree program with a recognized institution focusing on Finance, Accounting or similar and can provide an internship agreement, OR have graduated with a Bachelor's degree or similar for no more than 6 months
  • Commitment, ability to work independently, motivation and accuracy
  • Basic knowledge of SAP and good analytical skills would be an advantage
  • Good communication skills and ability to work in a multicultural team
  • Fluency in written and spoken English, additionally proficiency in French and/or German will be considered an asset
  • Competent handling of MS Office applications (in particular MS Excel, MS PowerPoint and MS Word) and Power BI.

Application deadline

As long as the job is online

Study level

Bachelor level or equivalent

Job Category

Corporate Finance

More about the company

Clearstream Luxembourg (Deutsche Börse Group) logo

Clearstream Luxembourg (Deutsche Börse Group)

Post-trade services provider owned by Deutsche Börse AG