Our client is a reputable player in the Financial Services sector. They have established a solid presence in Brussels and are looking for a new team member.
Job description
As a Treasury and Account Specialist, you will have the following responsibilities:
* Manage daily cash flows and prepare financial forecasts
* Oversee financial transactions and ensure they are accurately recorded
* Conduct account reconciliation and resolve any discrepancies
* Maintain a robust financial control environment
* Prepare and present financial reports to the management
* Comply with financial policies and regulations
* Collaborate with other departments to streamline financial operations
* Support the implementation of new financial systems and processes
Profile
A successful Treasury and Account Specialist should have:
* At least a Bachelor's degree in Finance, Accounting or a related field
* A first experience in treasury operations and account reconciliation
* An excellent level of French and a good Dutch, or the other way around. English is also important for this role
* Experience in preparing financial forecasts and reports
* Proficiency in financial software and MS Office
* Strong analytical and problem-solving skills
* Excellent attention to detail and accuracy
Offer From € 2.700 to € 3.300 per year
Our client offers:
* A competitive salary package assorted by many additional benefits
* A temporary job opportunity with potential for permanent hire
* A chance to be a part of a supportive and innovative team
* The possibility to telework 2 days/week