Senior Treasury Analyst - Amsterdam
Short description
Tasks Senior Treasury Analyst
Our client is looking to expand their team of two with a Senior Treasury Analyst. Working closely together with the Group Treasurer and the Senior Treasury Manager, you will accommodate their need to further professionalize their treasury department. Tasks include:
- cash flow forecasting and reporting on group level;
- communicating with BU's to optimize IC funding and cash management;
- manage internal and external loans;
- FX analysis and execution (FX all);
- manage In House bank;
- optimize processes in TMS (Kyriba);
- assist in other improvement projects (such as setting up pooling structure);
- present analyses and reports to higher levels of management.
Ideal Senior Treasury Analyst
You hold a relevant BSc or MSc and 2-4 years experience in corporate treasury. Experience in working with Excel and being tech savvy is a must! Having experience working with a TMS is a plus (especially Kyriba). As a person you are inquisitive, innovation oriented and you can handle the volatility of working in a trading environment.
This role can be a good match for a candidate working in a large corporate treasury team looking for a bigger impact or a treasury consultant who wants to make a step to the other side of the table.
Our Client
Remuneration and Process
The maximum salary indication for this position is €65K, with some room in the budget for more experienced candidates.
For candidates who qualify and are interested, further information is available. The Treasurer Test might be part of the selection process.
Location
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