Treasury controller

ASML

Veldhoven

On-site

EUR 70,000 - 110,000

Full time

16 hours ago
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Job summary

ASML is seeking a Treasury controller to contribute to the global treasury control framework, supporting accounting and reporting for derivatives, FX, financing, investments, and cash management. You will drive process standardization, automation, and robust controls in a dynamic, international environment.

The role connects Treasury, Accounting, Internal Control and external auditors, executing monthly, quarterly and annual closings with a focus on accurate reporting and compliant processes.

Qualifications

  • Bachelor’s or Master’s degree in accounting, finance, economics or business administration.
  • Minimum of 5 years of relevant experience in finance, accounting, financial control, treasury or audit.
  • Experience in an international corporate environment; Big Four audit experience is considered a plus.
  • Knowledge of US GAAP and IFRS, preferably with exposure to financial instruments and hedge accounting.
  • Experience with internal controls and SOx-compliant processes.
  • Experience with process improvement, automation or finance transformation initiatives.
  • Experience with SAP; familiarity with Treasury Management Systems (e.g., IT2) is considered a strong advantage.

Responsibilities

  • Execute treasury accounting and reporting activities for monthly, quarterly and annual closing processes, ensuring accurate group consolidation and financial reporting
  • Ensure accurate accounting and valuation of treasury transactions, including cash, foreign exchange, derivatives, debt instruments, investments and hedge accounting relationships
  • Execute and continuously improve treasury internal controls, including SOx controls, ensuring a robust and compliant control environment
  • Monitor compliance with Treasury Policies and financial reporting requirements, supporting the identification, escalation and remediation of control deficiencies and policy deviations
  • Partner closely with Corporate Treasury, Accounting Experts, Country Finance and other stakeholders to ensure accurate reporting and effective end-to-end treasury processes
  • Analyze treasury-related P&L, balance sheet and cash flow movements and provide insights to management and key stakeholders
  • Contribute to treasury transformation projects and strategic initiatives, supporting ASML's ambition to achieve world-class Treasury and Finance Operations

Skills

Analytical Skills
Attention to detail
Internal controls
Continuous improvement
Stakeholder management
Proactive attitude
Challenge status quo
Risk awareness
Priorities management
Multicultural awareness
English fluency
Treasury knowledge

Education

Bachelor’s or Master’s in accounting/finance/ economics/ business admin

Tools

SAP
Treasury IT systems (IT2)

Job description

Introduction to the job

As a Treasury controller, you contribute to the execution and continuous enhancement of ASML's global treasury control framework, supporting the accounting and reporting of complex treasury activities including derivatives, foreign exchange, financing transactions, investments and cash management activities. You combine strong accounting expertise with a continuous improvement mindset and actively identify opportunities to standardize, automate and strengthen treasury processes and controls.

Introduction to the job

As a Treasury controller, you contribute to the execution and continuous enhancement of ASML's global treasury control framework, supporting the accounting and reporting of complex treasury activities including derivatives, foreign exchange, financing transactions, investments and cash management activities. You combine strong accounting expertise with a continuous improvement mindset and actively identify opportunities to standardize, automate and strengthen treasury processes and controls.

Working in a global and highly dynamic environment, you help ensure that ASML's treasury operations remain compliant, efficient and scalable while supporting the company's continued growth and transformation.

Role and responsibilities

As a Treasury controller, you will be part of the Tax & Treasury Finance Operations team within ASML Business Services (ABS) in Veldhoven, The Netherlands.

In this role, you are responsible for safeguarding the integrity of ASML's treasury accounting, reporting and control environment. You act as a key link between Treasury, Accounting Expert Advisory, Country Finance, Internal Control and external auditors to ensure treasury activities are accurately recorded, compliant with applicable regulations and supported by effective controls.

Your responsibilities include:

  • Execute treasury accounting and reporting activities for monthly, quarterly and annual closing processes, ensuring accurate group consolidation and financial reporting
  • Ensure accurate accounting and valuation of treasury transactions, including cash, foreign exchange, derivatives, debt instruments, investments and hedge accounting relationships
  • Execute and continuously improve treasury internal controls, including SOx controls, ensuring a robust and compliant control environment
  • Monitor compliance with Treasury Policies and financial reporting requirements, supporting the identification, escalation and remediation of control deficiencies and policy deviations
  • Partner closely with Corporate Treasury, Accounting Experts, Country Finance and other stakeholders to ensure accurate reporting and effective end-to-end treasury processes
  • Analyze treasury-related P&L, balance sheet and cash flow movements and provide insights to management and key stakeholders
  • Contribute to treasury transformation projects and strategic initiatives, supporting ASML's ambition to achieve world-class Treasury and Finance Operations
Education and experience

To help us achieve our mission, you should have:

  • Bachelor’s or Master’s degree in accounting, finance, economics or business administration
  • Minimum of 5 years of relevant experience in finance, accounting, financial control, treasury or audit
  • Experience in an international corporate environment; Big Four audit experience is considered a plus
  • Knowledge of US GAAP and IFRS, preferably with exposure to financial instruments and hedge accounting
  • Experience with internal controls and SOx-compliant processes
  • Experience with process improvement, automation or finance transformation initiatives
  • Experience with SAP; familiarity with Treasury Management Systems (e.g., IT2) is considered a strong advantage
Skills

To thrive in this role, you are curious, analytical, detail-oriented and able to balance operational execution with continuous improvement. You enjoy working in a dynamic, international environment and can effectively collaborate with stakeholders across multiple functions.

  • Strong analytical and problem-solving skills
  • Accuracy and attention to detail
  • Understanding of financial accounting, treasury processes and internal controls
  • Continuous improvement mindset
  • Strong communication and stakeholder management skills
  • Proactive and hands‑on attitude
  • Ability to challenge the status quo and identify improvement opportunities
  • Risk awareness and compliance focus
  • Ability to manage multiple priorities and meet deadlines
  • Multi‑disciplinary and multi‑cultural understanding
  • Fluency in English, both verbal and written
  • Affinity with treasury products and financial markets, including FX, investments, debt instruments and derivatives
Inclusion and diversity

ASML is an Equal Opportunity Employer that values and respects the importance of a diverse and inclusive workforce. It is the policy of the company to recruit, hire, train and promote persons in all job titles without regard to race, color, religion, sex, age, national origin, veteran status, disability, sexual orientation, or gender identity. We recognize that inclusion and diversity is a driving force in the success of our company.

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