Treasurer Search Vacancy

Tasks Treasury Specialist

Key Responsibilities:

  • Oversee cashflow planning, ensuring liquidity and fund availability.
  • Optimize interest income and manage financial reporting.
  • Structure and execute swaps, FX derivatives, and investment transactions.
  • Provide regulatory advice (IFRS, ISDA, EMIR).
  • Prepare reports and dashboards for senior management.
  • Lead process improvements and cost-saving initiatives.

Ideal Treasury Specialist

The ideal candidate will have 3-5 years experience in corporate treasury or financial services. A degree in finance or a related field is required. Strong analytical abilities and effective communication skills are required, particularly when interacting across different organizational levels. Familiarity with Bloomberg would be beneficial.

Our Client

Our client is a multi-billion-euro real estate development and management company with operations in major European cities. With a strong focus on sustainable growth, their treasury team manages attractive property projects and collaborates with vital partners. They prioritize a positive workplace culture that supports employee development.

Remuneration and Process

The position offers a salary range of €80-100k, depending on your level of experience, along with the chance to grow your skills.

Candidates who are interested and in the selection process will receive further information. Additionally, the Treasurer Test may be included in the recruitment process.

Location

Berlin/Amsterdam

Contact Person

Alana Imron
T: +49 32 21 12 17 112

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