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© Sculpture: Jos Dirix
© Sculpture: Jos Dirix

Jr Cash & FX Manager

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

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.

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Location

Amsterdam Region

Publication date

06-06-2019

Contact person

Kim Vercoulen
T: (020) 6586 118
M: (06) 2467 9339
Other details
Match criteria
Jobtype preference
  • Front Office / Risk Manager
  • Treasury Analyst
  • Assistant Treasurer
Industry type
  • Trade/Commerce
  • Consultancy
  • Financial Services
Education
  • Bachelor's degree or equivalent
  • Master's degree or equivalent or more
Contract type
  • Full Time Employment
Expected annual income / Hourly rate
  • < € 50.000
  • € 50.000 - € 75.000