South-West Netherlands – Full-time
Build and manage European treasury operations, bank relation management, assist in acquisition and funding activities. Strategic partner of the CFO. Market level salary, South-West Netherlands.
Tasks Treasury Manager
The position is newly created. The Treasury Manager will be responsible for:
- European cash management, liquidity and forecasting
- Managing and optimizing banking structures
- Give treasury advice to operating companies, liaise with other finance functions
- Assist in aquisitions and funding activities
- Develop risk strategies (FX, IR)
- Managing regulatory compliance
Ideal Treasury Manager
The ideal Treasury Manager has a relevant University degree and at least 3 years experience in Treasury with operations as a main focus. Experience or expertise in funding and risk management is highly appreciated. Personality & mindset are at least as important as treasury knowledge and experience. As a person he/she is ambitious, adaptive and thrives in a dynamic environment. He/she is able not only to be the expert but also the result oriented project manager taking the organisation to the next level.
Our client is a fast growing services company with a global and capital intense infrastructure. The company is innovative and the culture is Anglo-Saxon company culture. The company has a clear strategy, aims high and gets results through acquisitions and autonomous growth. Further investments are currently being done to bring the organisation to the next (professional) level, there is a willingness to invest.
Remuneration and Process
Our client offers a market level salary, the expected annual base salary will be about €70K. For candidates that obviously bring more, our client is willing to pay more. For interested candidates who qualify, a more elaborate job description is available.