Are you an experienced Treasurer with a strong background in treasury operations?
Join a global finance team and play a key role in FX hedging, liquidity management, and investment programs.
Your Responsibilities:
✅ Execute daily FX hedging and monitor currency positions
✅ Manage intercompany loans, deposits, and cash investments
✅ Optimize liquidity forecasting and portfolio management
✅ Ensure compliance with financial risk and control policies
What We’re Looking For:
🔹 Bachelor’s degree in Finance, Accounting, or Business
🔹 5+ years of experience in corporate treasury or banking
🔹 Strong analytical skills and attention to detail
🔹 Experience with SAP, FX trading platforms, and Bloomberg
🔹 A team player with a proactive mindset
📍 Location: Belgium, Nossegem/Zaventem
Interested or do you know someone who would be a great fit? Let’s connect! 📩