Treasury Operations Analyst

Q8

Rotterdam

Hybrid

EUR 45,000 - 65,000

Full time

14 days+

Get more replies from employers

Send a job-specific resume in minutes.

Benefits offered by this job

Remote working allowance
Health insurance
Pension plan
Holiday allowance
Year-end bonus
Bike leasing scheme
36 vacation days
Hybrid working

Job summary

Q8 is seeking a Treasury Operations Analyst to join our international Finance team in Rotterdam. You will support day-to-day treasury operations, ensure accurate processing and compliance with internal policies and regulations, and provide insights for decision-making.

You will collaborate with Finance and Treasury colleagues to monitor liquidity, manage risks, and drive continuous process improvements, while applying a strong data-driven mindset and attention to detail.

Qualifications

  • Bachelor’s or Master’s degree in Finance, Economics, Business or a related field.
  • 2–5 years of treasury, finance or banking experience.
  • Strong understanding of financial markets including FX, rates, credit and liquidity management.
  • Knowledge of payment processing, settlements and bank account management.
  • Strong analytical skills with attention to detail.
  • Data-driven and able to translate insights into action.
  • Excellent communication and stakeholder relationship abilities.
  • Fluent in English; another European language is a plus.

Responsibilities

  • Manage treasury transactions: record, validate and process accurately and in line with internal policies.
  • Support liquidity management across a group-wide cash pool, liquidity investments and bank accounts.
  • Process payments and settlements on time and in compliance with regulatory requirements.
  • Monitor credit, settlement, FX and interest rate risks; escalate issues when needed.
  • Deliver reporting and analysis; support month-end activities and prepare reports.
  • Drive continuous improvement of treasury systems and processes.

Skills

Treasury experience
Financial markets understanding
Payment processing knowledge
Analytical skills
Data-driven
Stakeholder communication
English fluency

Education

Bachelor's or Master's in Finance/Economics/Business

Job description

Analytical talent with a passion for financial markets

Every day, millions of euros move across international markets. As a Treasury Operations Analyst, you make sure those financial flows are processed accurately, efficiently and in line with internal policies and regulatory requirements. You support the day-to-day treasury operations, monitor risks and provide the insights that keep the business moving.

Working in an international environment, you’ll collaborate with colleagues across Finance and Treasury while contributing to continuous process improvements. Your analytical mindset and attention to detail make a real impact.

Your biggest challenge

Keeping complex treasury operations running smoothly while maintaining accuracy, compliance and control. From processing transactions to monitoring liquidity and financial risks, your work helps build a strong and reliable treasury function.

That’s why you’ll take on a diverse role:

Manage treasury transactions: Record, validate and process treasury transactions accurately and in line with internal policies.

Support liquidity management: Manage and assist with implementation and monitoring of a group wide cash pool, liquidity investments and bank account management to ensure efficient cash management.

Process payments and settlements: Ensure treasury payments and settlements are completed accurately, on time and in compliance with regulatory requirements.

Monitor financial risks: Track credit, settlement, foreign exchange and interest rate risks, escalating potential issues when needed.

Deliver reporting and analysis: Support month-end activities, perform interest calculations for affiliates and prepare reports that contribute to financial compliance and decision-making.

Drive continuous improvement: Support treasury systems and contribute to projects that improve processes, reporting and operational efficiency.

This is you
  • You hold a Bachelor’s or Master’s degree in Finance, Economics, Business or a related field.
  • You have 2–5 years of relevant experience in Treasury, Finance or Banking.
  • You have a solid understanding of financial markets, including FX, interest rates, credit and liquidity management.
  • You understand payment processing, settlements and bank account management.
  • You have strong analytical skills and a keen eye for detail.
  • You enjoy working with data and translating insights into action.
  • You communicate effectively and build strong relationships with internal stakeholders.
  • You are fluent in English. An additional European language is a plus.
What is in it for you?

An attractive benefits package: A competitive salary, remote working allowance, health insurance, pension plan, holiday allowance, year-end bonus, bike leasing scheme.

Work-life balance: In the Netherlands, you’ll enjoy a minimum of 36 fully paid vacation days each year.

Hybrid working: Combine working from home with time at our modern Rotterdam office, equipped with the latest tools to help you work efficiently.

A warm welcome: Join an employer that genuinely cares about your wellbeing from day one. Take part in sports activities, social clubs, events, family days and our BeWell wellbeing programme.

Room to grow: We invest in your development through training, coaching and plenty of opportunities to grow your career.

A strong network and great team spirit: Benefit from the strength of our international network and collaborate with supportive colleagues in close-knit, welcoming teams.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Finance Specialist
Finance Specialist

Global Workforce Advisory • Amsterdam

On-site
Competitive salary
Performance-based bonuses
Autonomy in shaping financial processes
Junior Treasury Analyst
Junior Treasury Analyst

Independent Recruiters • Amsterdam

Hybrid
EUR 45,000 - 55,000
Senior Consultant Treasury
Senior Consultant Treasury

EY • Amsterdam

Hybrid
EUR 60,000 - 80,000
Competitive salary
Pension plan
29 vacation days
+2
Treasury Lead
Treasury Lead

vidaXL • Venlo

Hybrid
EUR 75,000 - 100,000
25 vacation days, with an option to purchase additional days
Non-contributory pension
Travel allowance
+2
Treasury Systems Manager
Treasury Systems Manager

Altum Consulting • Amsterdam

Hybrid
USD 69,000 - 117,000
Competitive base salary
Bonus
Growth opportunities
+3
Treasury Liquidity Manager
Treasury Liquidity Manager

Lloyds Bank NL • Amsterdam

On-site
EUR 65,000 - 90,000
13th month salary
30 days PTO
Non-contributory pension scheme
+1
Manager Treasury
Manager Treasury

Ernst & Young Advisory Services Sdn Bhd • Amsterdam

Hybrid
EUR 120,000 - 180,000
Solid pension plan
Annual bonus
Laptop and phone for work and personal
+6
Vice President/Director - Treasury Sales Officer - Global Commercial Banking Sales, Global Paym[...]
Vice President/Director - Treasury Sales Officer - Global Commercial Banking Sales, Global Paym[...]

Bank of America • Amsterdam

On-site
EUR 90,000 - 130,000
Treasury Operations Analyst
Treasury Operations Analyst

Q8Oils • Rotterdam

Hybrid
EUR 65,000 - 85,000
Remote working allowance
Health insurance
Pension plan
+3
Treasury Operations Analyst
Treasury Operations Analyst

Kuwait Petroleum Europe B.V. • Rotterdam

Hybrid
EUR 55,000 - 75,000
Remote working allowance
Health insurance
Pension plan
+4