K&H Bank Zrt.

treasury expert


  • develop the understanding of market risk (interest rate, liquidity, spread, fx etc) positions of the Bank and KBC group
  • within this especially: model client behavior (in e.g. prepayment risk, non-maturity products, liquidity components)
  • develop methods and processes which manage these positions of the bank
  • drive, contribute to the more advanced use and development of related infrastructure of the Bank (data warehouse, position reporting and calculation tools)
  • propose financial market position taking, market timing
  • operate recurring processes e.g. daily liquidity positioning, execute hedging transactions, hedge accounting setup and testing, internal transfer pricing
  • develop recurring processes to uncover value, increase efficiency


  • MSC in Economics
  • experience in statistics, financial modeling
  • experience in database management, statistics IT applications (e.g. SQL, Python, Matlab)
  • relevant professional experience (asset-liability management, market risk, financial markets)
  • self-starting, problem solving, creative attitude
  • fluent English


  • Bank, Insurance, Brokering
  • Treasury

Experience required:

  • 1-3 years professional experience

Required Qualification:

  • University degree

Required language level:

  • English (intermediate / communication)

Employment type:

  • Full time

Job location:

Budapest IX. kerület

How to apply/ contact information:

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