Finance & Treasury Manager – Rotterdam Growth

Richard James Recruitment Specialists Ltd

Rotterdam

On-site

EUR 70,000 - 100,000

Full time

4 hours ago
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Job summary

Our client, an International Oil & Gas trading and marketing company, is expanding with a new Rotterdam subsidiary, seeking a Finance Manager/Finance Generalist to join a small finance team reporting to the CFO. You will handle treasury, cash forecasting, online banking payments, audits, and tax filings, while improving finance workflows and delivering timely reporting.

Requirements include a Bachelor’s degree in finance/accounting and 2+ years in finance operations; English fluency is

Qualifications

  • Bachelor's degree in finance, accounting, tax, business administration or equivalent.
  • At least 2 years of relevant experience in finance operations, treasury, tax compliance, audit support, or accounting.
  • Experience in the Netherlands or with European finance/tax compliance is preferred.
  • Strong knowledge of treasury operations, cash planning, bank processes, and internal controls.
  • Good command of English; Dutch language ability is an advantage.

Responsibilities

  • Treasury and cash management: forecast cash flow, manage liquidity, and coordinate funding.
  • Online banking payments input and validation with proper documentation.
  • Audit support: prepare schedules, reconciliations, and follow-up materials.
  • Tax filing and compliance: coordinate VAT, CIT, WHT, and other filings.
  • Finance operations and reporting: assist month-end close and improve workflows.

Skills

Finance operations
Cash management
Tax compliance
Audit support
Excel
SAP experience
English language
Dutch language optional

Education

Bachelor's degree in finance/accounting

Tools

ERP systems
Online banking platforms

Job description

Our client, an International Oil & Gas trading and marketing company, is expanding with a new Rotterdam subsidiary, seeking a Finance Manager/Finance Generalist to join a small finance team reporting to the CFO. You will handle treasury, cash forecasting, online banking payments, audits, and tax filings, while improving finance workflows and delivering timely reporting.

Requirements include a Bachelor’s degree in finance/accounting and 2+ years in finance operations; English fluency is

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