The Market Risk Management of ING We are responsible for managing the balance sheet of ING NL. We do this by hedging our Interest Rate and Liquidity risks in close cooperation with Group Treasury. We maintain close relations with
Make an impact where it truly matters: at the heart of the bank’s balance sheet. In this role, you combine analytical depth with meaningful business impact. You translate complex financial and behavioural insights into decisions that
Shape the financial backbone of a global organization. As Director of Treasury for our Essentials Products Company, you will lead global treasury strategy, ensuring liquidity, funding strength, and robust financial risk management—working closely with the CFO
Reporting to the Head of Trading & Risk, the Portfolio Research Analyst will produce market outlooks, price forecasts and thematic research that directly inform the team’s hedging decisions, procurement strategy and budget planning cycle. The scope of
Always wanted to know what happens on a trading floor? This is your chance! During the Financial Markets internship programme you will gain hands-on experience on one of our Financial Markets desks. You will be an