Are you ready to take on a dynamic role in a manufacturing environment? A company in the Waarschoot region is looking for a Treasury & Risk Manager to oversee financial strategies, optimize cash management, and ensure risk mitigation. If you have a strong financial background and a proactive mindset, this opportunity is for you.
Your responsibilities as a Treasury & Risk Manager:
1. Contribute to the finance leadership team and support the CFO and executive management
2. Manage financing strategies, negotiate agreements, and implement new solutions
3. Ensure compliance with banking agreements and fulfill reporting obligations
4. Maintain banking relationships and enhance financial service utilization
5. Oversee insurance programs, claims, and settlements
6. Monitor cash flow processes and ensure accurate reporting
7. Present weekly cash flow forecasts to management and the board
8. Supervise payment processing and treasury operations, driving improvements
About you:
1. You have a master’s degree in Finance, Accounting, Business Administration, or a related field
2. You bring at least three years of experience in treasury management, preferably in manufacturing
3. You have strong financial expertise and analytical skills
4. You collaborate effectively across departments and communicate at all levels
5. You work well under pressure, solve complex issues, and think strategically
6. You understand accounting principles and regulatory requirements
7. You are fluent in English, with Dutch as a plus
What’s offered:
1. Homework
2. Company car
3. Growth opportunities nationally but also internationally
Seize the opportunity to step into the role of Treasury & Risk Manager and make a meaningful impact in a thriving company! If you are ready to take on this challenge, apply today.
About the job:
Contract Type: FULL_TIME
Specialism: Tax
Focus: Treasury
Workplace Type: Hybrid
Experience Level: Mid Management
Industry: Financial Services
Salary: Negotiable
Location: Waarschoot
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