The Job
Learn. Develop. Grow. But always: Share value Join our international team that drives positive change, united by a spirit of openness and curiosity. We empower you to have an impact and to grow - personally and professionally. With us, you work at the heart of financial systems and evolve the way markets operate. We're excited about the future because we are the ones shaping it. Let´s do this together by sharing value! Who we are Tracing its origins to 1585, Deutsche Börse Group has become one of the world's leading exchange organisations and an innovative market infrastructure provider. In this role, we provide investors, financial institutions and companies access to global capital markets. What's your part in all this? With your commitment you contribute to the success of our unique business model: offering a wide range of products, services and technologies for security, transparency and integrity on the markets. By creating trust in the markets of today and tomorrow we foster growth and contribute to the prosperity of future generations. Luxembourg Your career at Deutsche Börse Group Your area of work: Global Securities Financing Operations are responsible for the day to day of Clearstream Banking Triparty Collateral Management Services (Triparty Repo and Securities Lending Services). We are also required to support and contribute to projects and system enhancements related to the GSF products/services, Risk Management and Quality Management initiatives. Your responsibilities: Administration of Collateral Management process including handling of trade notifications Handling of customer calls, queries related to the Collateral Management services Administration of Triparty Collateral Management service set up Administration of static and dynamic data related to financial instruments Your profile Bachelor's level degree minimum with focus in Finance Proficiency in Microsoft Office: Excel (Pivot tables...) Ability to think critically, assimilate new information and respond effectively Strong verbal and written communication skills to appropriately convey information Fluency in English, other languages are an asset Meticulous and accurate in work Knowledge of securities reference data is welcome (e.g. ratings, structured assets, issuers...) Starting date : 1 February 2023