Treasury Manager @ Treasurer Search

Apeldoorn – Full-time

As a Treasury Manager, you will be at the heart of managing liquidity, foreign exchange and cash pooling. Working in a close-knit Treasury team of three professionals, your contribution will be immediately visible. You’ll play an active role in optimizing the use of their TMS and treasury processes, leading improvement projects and driving optimisation.

Tasks

As a Treasury Manager, you will be responsible for the following:

  • Cash flow management;
  • IT, FX, & hedging;
  • Managing and optimizing processes and procedures;
  • Reporting and communication with internal and external stakeholders, especially with subsidiaries;
  • Thinking along and leading improvement projects.

Ideal Treasury Manager

For this role, you need to have a relevant Master’s degree along with 8+ years of experience within a treasury team. On the technical side, you are a proficient user of Excel and PowerPoint, a TMS knowledge is a plus. Personality-wise, you are ambitious, analytical, and have a ‘can-do’ attitude.

Our Client

Our client is an international machinery distributor with a strong global presence and a down-to-earth Dutch company culture. Within the small Treasury team, ambitions run high: every team member makes a tangible impact and is encouraged to grow into broader responsibilities over time.

Remuneration and Process

The salary indication is €75K-€100K. We have a more detailed job description available for interested and qualified candidates.

Did you know that you can update your profile online and apply easily for this vacancy via the button ‘apply’ below? Read more about the practical aspects of applying in this blog. The Treasurer Test might be included in the hiring process.

Contact 

Kim Vercoulen

T: +31 850 866 798

M: +31 6 2467 9339

E: [email protected]