Treasury Officer — Flexible Hours, Hybrid Work

Vandemoortele

Oost-Vlaanderen

Hybride

EUR 52 000 - 72 000

Plein temps

Il y a 2 jours
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Avantages offerts par ce poste

Flexible hours
WFH 50% time
Wellness activities
Bike leasing
Company restaurant

Résumé du poste

Vandemoortele is hiring a Treasury Officer to strengthen the central treasury team. You will monitor daily cash positions, support liquidity planning, and help execute treasury transactions and payments.

The role involves collaborating with accounting, tax and finance teams across the organisation to optimize working capital. You will contribute to risk management, treasury projects, and system enhancements while maintaining strong relationships with banking partners.

Qualifications

  • Bachelor’s or Master’s degree in Finance, Accounting, Economics, or related field.
  • First treasury/corporate finance experience is a strong advantage.
  • Fluent in English; good knowledge of French.
  • Strong analytical and numerical abilities with clear communication.

Responsabilités

  • You monitor daily cash positions and support liquidity management activities.
  • You assist in cash forecasting and treasury reporting.
  • You execute and control treasury transactions and payments.
  • You support cash pooling, intercompany funding, and bank account management.
  • You contribute to foreign exchange and interest rate risk management activities.
  • You participate in treasury projects related to systems, integrations, automation, process improvements, and digitalization.
  • You maintain relationships with banking partners and internal stakeholders.
  • You support compliance with treasury policies, controls, and governance requirements.

Connaissances

Analytical skills
Numerical abilities
Clear communication
Adaptability

Formation

Bachelor’s or Master’s degree in Finance/Accounting/Economics

Outils

MS Office

Description du poste

Vandemoortele is hiring a Treasury Officer to strengthen the central treasury team. You will monitor daily cash positions, support liquidity planning, and help execute treasury transactions and payments.

The role involves collaborating with accounting, tax and finance teams across the organisation to optimize working capital. You will contribute to risk management, treasury projects, and system enhancements while maintaining strong relationships with banking partners.

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