Interim Treasurer Manager Operations

Interim Treasury Manager Operations for an international corporate in Amsterdam, approx. €90/hour, min. 3 months with expected extension.

Bekijk en reageer bij Treasurer Search (externe link)

Eisen

  • experience with bank-specific protocols and establishing or supporting banking structures
  • analytical and detail-oriented
  • comfortable with Excel
  • comfortable with tight deadlines and a fast-paced environment
  • demonstrable experience in global treasury operations
  • communicate complex financial matters clearly to non-finance professionals
  • related banking documentation
  • combine business acumen with strategic thinking
  • bank account opening
  • particular strength in KYC procedures
Volledige omschrijving

An international business is looking for an Interim Treasury Manager Operations to help establish and strengthen its treasury operations during an important phase of organizational development. The role combines operational treasury expertise with a strong focus on banking documentation, KYC and account opening. It is an opportunity for an experienced treasury professional who can contribute directly in a fast-paced, international environment.

Tasks: Establishing and managing Treasury Operations within the organization; Managing and supporting end-to-end activities related to settlements and confirmations, bank account management, transaction and payment processing, e-banking, bank account reconciliation and reporting; Maintaining bank relationships and managing bank and loan documentation, including KYC, AML, ISDA and account-opening documentation; Leading process and system improvements to increase efficiency, reduce costs and minimize risk; Ensuring the accurate execution of internal controls in line with regulatory requirements, while supporting treasury projects and the continued development of the banking structure.

Ideal candidate: demonstrable experience in global treasury operations, with particular strength in KYC procedures, bank account opening and related banking documentation. Experience with bank-specific protocols and establishing or supporting banking structures is important. Analytical, detail-oriented, comfortable with Excel, tight deadlines and a fast-paced environment. Communicates complex financial matters clearly to non-finance professionals and combines business acumen with strategic thinking.

Our client is an international corporate. Following a period of organizational change, the company is further developing its finance and treasury capabilities and is looking for additional expertise to support this phase of growth and development.

Remuneration and process: This assignment will initially run for at least three months, with an expected extension of a further three months. The hourly rate is approximately €90.

Location: Amsterdam.

Je CV en reacties

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