The treasurer is part of the CFO team and the solo expert in this team. His primary tasks are in cash management, FX dealing and operational funding. At HQ, he has colleagues in trade finance and risk management, who can also be his back up. Due to the nature of the primary process: commodities, he will work closely with the traders, both in funding and in FX management. He is expected to improve systems and processes. One of the first projects he can focus on is the further implementation of SAP Treasury.
The ideal candidate for this position has a relevant degree and at least 5 years of relevant experience in cash & FX management. English is the business language, speaking French would be a big plus, any other language would be an asset. As a person he is proactive, outgoing and is able to make a connection between treasury and other job types. This position would be a great step forward for an experienced specialist looking for more responsibility.
Our client is a commodities trader with global presence. The company culture can be described with key words like: hands-on, entrepreneurial and professional.
Indication of the base salary for this position is €70K. For candidates that qualify and are interested, a more extensive job description is available.
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