Junior Treasury Analyst

NextGenEnergyJobs

Amsterdam

Hybrid

EUR 45,000 - 65,000

Full time

4 days ago
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Benefits offered by this job

Competitive remuneration package
Pension scheme contributions
Strong development focus
Sport and training opportunities

Job summary

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.

Qualifications

  • Bachelor's degree or equivalent early-career experience.
  • Strong analytical skills and curiosity to understand how business processes and financial information connect.
  • Proactive mindset with ownership, problem-solving and seeking guidance when needed.
  • Ability to communicate with stakeholders and stay composed when priorities shift.
  • Good judgment and attention to detail, with the ability to challenge unusual situations.

Responsibilities

  • Support Treasury operations, including daily cash management, FX processing, and reconciliation.
  • Assist with cash flow forecasting and liquidity monitoring.
  • Prepare and maintain Treasury reporting for senior management and lenders.
  • Collaborate with Finance and business stakeholders on Treasury processes and projects.
  • Contribute to process improvements and opportunities to increase efficiency and automation.

Skills

Analytical skills
Ownership mindset
Stakeholder communication
Attention to detail

Education

Bachelor's degree in Finance, Economics, Business Administration, or related field

Job description

Join our Treasury team and help support the day-to-day operations that keep the business running smoothly.

Responsibilities
  • Support Treasury operations, including daily cash management, FX transaction processing, and reconciliation activities.
  • Assist with cash flow forecasting and help monitor the company's liquidity position.
  • Prepare and maintain internal and external Treasury reporting, including presentations for senior/C-level management and lender reporting.
  • Collaborate with stakeholders across Finance and the business to support Treasury processes and projects.
  • Contribute to process improvements and help identify opportunities to increase efficiency and automation.
Requirements
  • Bachelor's degree in Finance, Economics, Business Administration, or a related field, or equivalent early-career experience.
  • Strong analytical skills and a genuine curiosity to understand how business processes and financial information connect.
  • A proactive mindset with the ability to take ownership, solve problems, and seek guidance when needed.
  • Able to communicate effectively with stakeholders, seek clarification when needed, and remain composed when priorities shift.
  • Good judgment and attention to detail, with the ability to challenge unusual situations and apply common sense.
Benefits
  • Competitive remuneration package
  • Pension scheme contributions
  • Strong focus on personal and professional development
  • Sport and training opportunities
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