This is an outstanding opportunity for an experienced Treasury Professional to work for a leading manufacturing company based in Flanders, Belgium.
Reporting into the Treasury Manager you will perform a wide range of tasks related to group treasury operations.
You will take responsibility for cash management and FX projects and you will act as the back-up for the daily central follow-ups and management of banking processes and financial transactions, both external and intercompany.
- To conduct independent analyses to improve existing treasury processes.
- Working with the Corporate Treasury Team for the Group and work in close collaboration with the local Finance Managers and their teams.
- You are the first point of contact with banks regarding credit transfers, FX transactions, the implementation of bank proxies, accounts, cash pool structures
- Maintain close collaboration with your accounting colleagues to ensure efficient and adequate processing of treasury flows
The ideal candidate will possess at least 2 years’ experience in a similar role within a corporate Treasury environment.
Those with a strong background within accounting, banking or auditing are also welcome to apply and will be considered.
A good knowledge of Excel and SAP is desired not essential
Fluency in Dutch and English are essential
This is a unique and outstanding opportunity to developed and build on your experience, and to challenge yourself in an exciting and innovative role. this thriving and up and coming company are one of the largest Distributors in their industry.
This is a fantastic opportunity for an experienced Treasury professional to really build their own desk.
The company also offers the flexibility of being able to work from home on a regular basis.