| 19-06-2019 | treasuryXL |
TASKS JR CASH & FX MANAGER
The emphasis in this position lies in the management of international cash flows, externally and between subsidiaries. Main tasks are operational liquidity management, improving the banking & TMS structure and FX management (including actual dealing).
IDEAL JR CASH & FX MANAGER
The ideal candidate for this position has a relevant degree and must have completed one or two career steps in a corporate treasury environment. As a person, the candidate is service orientated but will not be pushed aside. Working with deadlines in an Anglo-Saxon environment should not be a problem.
Our client is a worldwide market leader in complex services and has its international treasury hub in The Netherlands. The small treasury team is in build-up, all members are busy and successful. There is no time for slowly training new colleagues.
REMUNERATION AND PROCESS
The maximum base salary for this position is €58K, fringe benefits are excellent. There is a more extensive job description for candidates that are interested and who qualify.