Tasks
- Develop and implement the group’s treasury strategy, ensuring effective management of cash, liquidity, and financial risk.
- Oversee global cash flow planning and intercompany financing to secure optimal liquidity levels.
- Lead initiatives related to capital structure, funding, and financial transformation projects.
- Manage treasury accounting, including compliance with international financial standards.
- Advise the executive team on financial exposure, hedging strategies, and risk scenarios.
- Maintain strong partnerships with banks and financial institutions to optimize cost and flexibility.
- Act as a key counterpart to the CFO and senior management, ensuring alignment between treasury, finance, and business operations.
- Lead and develop an experienced treasury team across multiple regions, fostering a culture of collaboration and excellence.
Ideal candidate
You are a seasoned treasury leader who combines strategic insight with hands-on financial expertise. You can communicate complex financial topics with clarity and are skilled at building trust with both internal and external stakeholders.
You bring:
- 10–15 years of experience in treasury (and finance), ideally within an international environment.
- Proven leadership experience and the ability to manage and inspire a professional, stable team.
- Strong knowledge of liquidity management, financial risk mitigation, and funding structures.
- Experience in transformation or change projects
- Excellent interpersonal and communication skills, with a pragmatic, approachable style.
- Full professional proficiency in English.
- You are currently based in the Netherlands or live close to the border in Germany/Belgium.









