Junior Treasurer
Banking Circle
Are you interested in FX trading and financial markets? Do you enjoy being given responsibility and take pride in getting the details right? At Banking Circle's Treasury team, we are looking for another talent to assist us with liquidity management and FX risk exposure.
Banking Circle is a fully licensed, technology‑enabled bank processing over €1 trillion in payments every year - and growing. We exist to power the global economy’s most ambitious payments businesses with infrastructure that is fast, modern, and engineered for scale. Today, more than 800 people across 11 countries work together as one global team. We move fast, we think boldly, and we build with intent - because our clients depend on us to keep pace with the world’s most dynamic payments flows. We are expanding globally, scaling our capabilities, and deepening our impact, so if you want to shape the future of financial infrastructure - this is the place.
Your team welcomes you with open arms
As our new Junior Treasurer in the Treasury team in Copenhagen, you’ll experience an open and knowledge driven culture, where everyone can thrive, connect with colleagues, learn and grow. Here you will be empowered to make an impact every day.
As we process over 10% of Europe’s B2C e-commerce flows, our FX exposure changes frequently and requires liquidity to be instructed between correspondent and central banks to facilitate the payment flows. These are important parts of Banking Circle’s core business.
The position is 15-20 hours or more per week on average with flexibility during exam periods. The shifts are afternoon/evening, typically to 19.00 and no later than 21.00. The Junior Treasurers are also required to work holidays as we cover financial markets across the globe.
We offer a hybrid work model for our employees to allow for flexibility and productivity. However, we do expect you to spend most of your time in the office to build community and efficiency in the team.
Exciting work is waiting for you
- Hedging FX risk.
- Liquidity management involving interbank liquidity transfers, FX swaps, term deposits, investments etc.
- Maintaining sufficient liquidity for processing payments and instructing liquidity transfers between banks and central banks.
- Intraday reconciliation.
- Assist in the process of optimizing the operational part of Treasury.
- Ad-hoc investment analysis with the purpose of interest optimization.
Things we’ll look for on your resume
You are currently studying for a relevant financial or economic degree with at least two years remaining until graduation.
You have a strong financial understanding and ability to provide sharp and accurate economic analysis. You are detail oriented and understand the importance of deadlines and accuracy, and you are prepared to take responsibility and make decisions on your own, but also seek guidance from colleagues when in doubt.
We also expect you to be an experienced user of Microsoft Excel. Experience with SQL, Python or similar is a plus.
Banking Circle is an international company. Our internal workforce consists of over 50 nationalities, and our clients and partners are located all over the globe. Therefore, our company language is English.
Go ahead and take the first step
We look forward to hearing from you. We review applications and interview candidates continuously. Please note that we don’t accept or consider CVs received through email or direct messages.
If you have questions, please reach out to Sofie Møllenbach, Senior Treasurer on [email protected] or Simon Scott Hansen, Global Recruitment Partner on [email protected]. No recruitment agencies, please.
We are proud to be an equal opportunity employer, and all qualified applicants will receive consideration for employment without regard to race, colour, age, religion, sexual orientation, national origin or any other characteristic protected under federal, state or local laws, regulations and ordinances. To learn more about Banking Circle, visit us at www.bankingcircle.com.
Lokation: Copenhagen (DK)
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