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NextGenEnergyJobs in Amsterdam is seeking a motivated Treasury professional to join our team to support daily cash management, FX processing, and reconciliations, ensuring smooth liquidity and accurate records.
You will contribute to cash flow forecasting, prepare Treasury reports for senior management and lenders, and collaborate with Finance and business stakeholders on process improvements and automation. Development opportunities and pension scheme are offered.
Join our Treasury team and help support the day-to-day operations that keep the business running smoothly.