Intern - Treasury & Liquidity Controls (f/m/d)
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- Luxemburg
- Praktikum
- Vollzeit
- Support the building of tools that reduce repetitive manual tasks, including daily and monthly reporting and data reconciliation
- Help create macros that automate repetitive processes such as data entry, formatting, and report generation
- Contribute to the development of VBA tools to process large volumes of financial data, enabling automated reconciliations and data validation
- Support debugging, optimizing, and supporting existing VBA applications and macros to improve performance
- Collaborating with internal stakeholders (Risk, Front Office…) to identify opportunities for efficiency
- Support designing and executing automated reporting
- Connecting Excel with external data sources using SQL for querying databases (e.g., SQL Server)
- You are enrolled in a Bachelor's or Master's program in Finance, Economics, Risk Management, but also Computer Sciences or Information Systems or a related field, OR have graduated with a Bachelor's Degree or similar for no more than 6 months
- Strong analytical skills and attention to detail
- Proficient in MS Office is a must
- Familiarity with financial instruments, liquidity concepts and risk frameworks
- Fluent in English; knowledge of German or French is an asset
- Team-oriented, proactive, and eager to learn in a fast-paced environment
- Proficiency in scripting within Excel/Access (loops, conditionals, subroutines)
- Deep knowledge of Pivot Tables, VLOOKUP/INDEX-MATCH, and data validation
- Experience with querying databases for data extraction and manipulation
- Experience with Power Query, Power Pivot, or Python for advanced data manipulation as well as Power BI and Power Automate