Inhuurbron

Finance Portfolio Manager

Bekijk en reageer bij amoriabond.com (externe link)

Finance Portfolio Manager (contract) in Utrecht, verantwoordelijk voor portfolio management, financiële rapportage (FinRep), risicobeheer en treasury.

Locatie
Utrecht
Contractvorm
detachering
Sluitingsdatum
Gepubliceerd
Uitgezet via
Amoria Bond

Eisen

Wensen

Omschrijving

We are seeking a dynamic and experienced Portfolio & Finance Manager to join our diverse and inclusive team. The ideal candidate will possess strong expertise in portfolio management, financial reporting, risk management, and treasury functions, with a background in mortgages, investment banking, or financial investing. Roles offers the opportunity to contribute to strategic financial decisions that drive sustainable growth while fostering an inclusive workplace where every voice is valued.

At our organization, we are committed to equality, diversity, and inclusion, ensuring that all employees feel respected and empowered. We welcome applicants from all backgrounds and strive to create an environment where unique perspectives are embraced.

Responsibilities: Lead comprehensive portfolio management activities to optimize asset performance and mitigate risk. Oversee financial reporting (FinRep) to ensure accuracy, compliance, and timeliness in accordance with accounting standards and regulatory requirements. Manage treasury operations, including liquidity management, cash flow forecasting, and funding strategies. Collaborate with risk management teams to identify, assess, and mitigate financial risks across portfolios.

Provide insightful analysis and recommendations related to mortgages, investment banking, or financial investing portfolios. Develop and maintain strong relationships with internal stakeholders, regulators, and external partners. Support strategic planning and budgeting processes to align financial goals with organizational objectives. Champion inclusive practices within the team and contribute to company-wide diversity and equity initiatives.

Qualifications: Proven experience in portfolio management with a strong understanding of financial reporting (FinRep) frameworks. Demonstrated expertise in risk management and treasury functions. Background in mortgages, investment banking, or financial investing sectors. Strong analytical, problem-solving, and organizational skills. Excellent communication skills with the ability to present complex financial information clearly. Proficient in relevant financial software and tools.

Commitment to promoting diversity, equity, and inclusion in the workplace. Relevant degree in Finance, Economics, Business, or a related field; professional certifications (e.g., CFA, CPA) are a plus.

Day-to-Day: Reviewing portfolio performance and financial reports to identify trends and areas for improvement. Coordinating with cross-functional teams including risk, compliance, and treasury to ensure cohesive financial management. Monitoring market conditions and regulatory changes that impact portfolio strategies. Preparing and presenting financial reports to senior management and stakeholders. Managing day-to-day treasury activities, such as cash management and funding operations.

Facilitating team meetings that encourage open dialogue and innovative ideas. Supporting mentorship and development opportunities to foster a culture of continuous learning and inclusion. Join us and help shape the future of financial portfolio management in a culture that values diverse perspectives and empowers all team members. Amoria Bond operates as an employment Business and agency. No terminology in this advert is intended to discriminate on the grounds of age or experience, and we confirm that we are happy to accept applications from persons of any age or experience for this role.

Alle opdrachtenBekijk en reageer bij amoriabond.com (externe link)

Gegevens automatisch overgenomen uit de oorspronkelijke publicatie; controleer de details bij de bron. Wij zijn geen partij bij de aanvraag. Hoe wij werken.