You are responsible for accounting and reporting in treasury and connected to professional colleagues in the front office, tax, control and other departments. You are subject matter expert in managing the administration and regular reporting related to financing activities. Your input is used to make strategic balance sheet decisions.
You have a degree in controlling or accounting and over five years' experience in treasury or related accounting. Your work(ed) within a corporate treasury department, perhaps with a financial services provider. Your approach to work is detail oriented, methodical and you are not afraid of deadlines. You connect, initiate, analyze and improve with ease. Expertise in a TMS/ERP and/or various accounting principles would make you the ideal candidate.
Our client is a multi billion financing company of a well-known, professional company. Both the complexity of the treasury function as well as their modern employee benefits package make them an appealing employer.
The expected base salary for this position lies around €65K. Our client offers excellent fringe benefits. A hybrid working model is applied. For candidates who qualify and are interested, further information is available.
Did you know that you can update your profile online and apply easily for this vacancy via the button ‘apply' below? Read more about practical aspects of applying in this blog. Some of our clients ask candidates to take the Treasurer Test