European Treasury Manager | International Scope
Finance

European Treasury Manager | International Scope

Job Description

Nieuwkerke, Belgium | Permanent | €5,500 – €7,500 gross/month + Company Car | 1 Remote Day/Week

Dutch & English required

Are you an experienced Treasury professional looking for a broader role with European exposure, strategic impact and real ownership?

For a confidential international group, we are looking for a European Treasury Manager to take responsibility for treasury activities across its European operations.

This is a senior position combining Treasury expertise, financing, financial risk management, transformation and team leadership, with direct exposure to senior stakeholders.

Duties

YOUR ROLE

Working closely with the Global Treasurer and Finance teams across Europe, you will take ownership of the regional Treasury function.

Your responsibilities will include:

• Managing cash, liquidity and cash flow forecasting across the European perimeter

• Managing and developing relationships with banks, lenders and credit insurers

• Overseeing bank accounts, credit facilities, guarantees and other treasury products

• Optimising working capital, credit and collection processes

• Developing and implementing appropriate financing solutions

• Managing financial risks related to FX, interest rates and energy

• Strengthening Treasury governance, controls and compliance

• Contributing to strategic financing, ERP and Treasury transformation projects

• Leading, coaching and developing the regional Treasury team

You will work closely with Finance, Accounting, Tax, Legal, Procurement, Sales and Operations, giving you broad exposure across the organisation.

Skills & Knowledge

WHO ARE WE LOOKING FOR ?

We are looking for an experienced Treasury professional who combines strong technical expertise with an analytical, entrepreneurial and hands-on mindset.

You ideally have:

• A Master's degree in Finance, Accounting, Economics or a related field

• At least 8 years of relevant experience in Treasury, Corporate Finance or Commercial Banking

• Experience within a European or international environment

• Strong expertise in cash management, financing, banking relationships and financial risk management

• Excellent negotiation and stakeholder management skills

• The ability to operate autonomously and interact confidently with senior stakeholders

Fluent Dutch is mandatory.

Fluent English is mandatory.

French is an advantage, but not a requirement.

Experience with SAP and/or a Treasury Management System is considered an asset.

Why consider this opportunity?

This is not a role where you simply maintain an existing Treasury operation.

You will have the opportunity to help shape and further develop the European Treasury strategy.

You will contribute directly to financing decisions, liquidity optimisation, financial risk management and major transformation projects while working closely with senior management.

THE POSITION OFFERS:

• A genuine European scope

• Direct exposure to senior leadership

• Significant autonomy and ownership

• Strategic and operational responsibilities

• The opportunity to further professionalise and transform Treasury activities

• A stable international environment with long-term perspectives

Our offer

ACKAGE

  • €5,500 – €7,500 gross/month, depending on experience
  • Company car
  • Additional extralegal allowance
  • 1 remote working day per week
  • Permanent, full-time position

Location: Nieuwkerke, Belgium

Confidentiality

This search is being conducted on a strictly confidential basis.

The identity of our client will only be disclosed to selected candidates during the recruitment process.

All applications and conversations will naturally be treated with the highest level of confidentiality.

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