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Amsterdam
21 Apr 2026
Head of Liquidity Management & Money Markets - Group Treasury logo

Head of Liquidity Management & Money Markets - Group Treasury

ING Nederland

Amsterdam
21 Apr 2026
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Head of Liquidity Management & Money Markets - Group Treasury

As Head of Liquidity Management & Money Markets Netherlands, you lead a key part of Group Treasury at ING, ensuring cash, liquidity and short-term funding are managed carefully and forward-looking. This role combines professional depth with people leadership, overseeing day-to-day balance sheet management and stress preparedness. The position requires 8+ years of relevant experience in Treasury or Capital Markets, proven people leadership, and strong analytical skills.

RemoteFull-timeDirectorLiquidity ManagementMoney Markets

Head of Liquidity Management & Money Markets - Group Treasury

As Head of Liquidity Management & Money Markets Netherlands, you lead a key part of Group Treasury at ING, ensuring cash, liquidity and short-term funding are managed carefully and forward-looking. This role combines professional depth with people leadership, overseeing day-to-day balance sheet management and stress preparedness. The position requires 8+ years of relevant experience in Treasury or Capital Markets, proven people leadership, and strong analytical skills.

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RemoteFull-timeDirectorLiquidity Management

Salary

Not specified

Work Location

Amsterdam, North Holland, Netherlands, NL

Work Model

Remote

Experience Required

8 years

Employment Type

Full-time

Experience Level

Head of

Core Qualifications

Technical (Must-have)
Liquidity ManagementMoney MarketsTreasuryCapital MarketsFinancial MarketsLCRNSFRCash ManagementFundingBalance Sheet Management
Soft Skills
LeadershipCoachingCommunicationAnalytical SkillsJudgementStakeholder EngagementInclusivenessCollaboration

Key Responsibilities

  • •Lead the LM&MM NL team by setting clear priorities and creating a safe, inclusive environment.
  • •Oversee cash, nostro and intraday liquidity management for ING Bank N.V.
  • •Support and coordinate short-term funding activities (CD/CP issuance and professional deposits) across currencies and maturities.
  • •Translate regulatory and internal liquidity requirements (including LCR and NSFR) into clear and practical ways of working.
  • •Represent LM&MM within ING and externally, acting as escalation point during market or operational events.
  • •Guide minimum reserve management, year-end balance-sheet preparation and contingent liquidity readiness.
  • •Work closely with partners across Risk, Finance, FM and Lending to align decisions affecting cash positions, basis risk and balance-sheet limits.
  • •Contribute to the wider LM&MM community by sharing best practices and supporting standardisation and capability building.
Head of Liquidity ManagementGroup TreasuryBankingFinanceAmsterdamRemoteFull-timeLeadershipLiquidityMoney Markets
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