Treasury Manager

Amsterdam Vast dienstverband Thuiswerken/hybride Bekijk de functieomschrijving
This is an experienced Treasury Manager role where you will lead treasury operations, funding activities, liquidity management, and financial compliance within a dynamic international organisation.Reporting directly to the CFO, this role offers a unique opportunity to shape the group's funding strategy, lead refinancing projects, and manage specialist teams across treasury, payments, and financial compliance.

Toegevoegd 05/08/2026

  • Play a Strategic Role in a Capital-Intensive Real Estate Business
  • Broad Treasury Leadership with High Visibility

Over onze klant

Our client is an international real estate investment and asset management organisation.

Functie

Treasury & Funding

  • Lead all treasury and funding-related activities across the organisation.
  • Develop and implement funding and capital structure strategies.
  • Manage refinancing projects from initiation through execution.
  • Negotiate financing agreements and maintain relationships with banks and lenders.
  • Monitor debt facilities, interest costs, and interest rate exposure.
  • Ensure compliance with financing agreements and covenant requirements.
  • Support acquisitions, investments, and strategic projects from a treasury perspective.



Cash & Liquidity Management

  • Oversee cash management and liquidity planning across multiple entities.
  • Monitor cash positions and funding requirements.
  • Manage payment approval processes and banking activities.
  • Partner with FP&A to align liquidity needs with cash flow forecasts.
  • Ensure timely reconciliation and accurate treasury reporting.



Financial Compliance & Governance

  • Manage banking relationships and banking administration.
  • Oversee KYC and compliance requirements with financial institutions.
  • Ensure accurate maintenance of treasury-related corporate governance documentation.
  • Support internal controls and Delegation of Authority compliance.
  • Coordinate loan covenant reporting and compliance monitoring.

Profiel

  • Bachelor's or Master's degree in Finance, Accounting, Economics, Treasury, or a related discipline.
  • Proven experience in treasury, banking, corporate finance, or capital management.
  • Strong track record in debt financing, refinancing, and lender negotiations.
  • Experience managing liquidity, cash flow, and banking relationships.
  • Strong understanding of financial governance, compliance, and internal controls.
  • Demonstrated leadership experience.
  • Excellent communication and stakeholder management skills.
  • Fluent Dutch and English are essential.



Aanbod

  • Direct exposure to senior leadership and strategic decision-making.
  • Opportunity to lead significant refinancing and funding initiatives.
  • Broad treasury leadership role with both strategic and operational impact.
  • International and collaborative working environment.
  • Attractive salary and benefits package.



Contact
Trinity Tung
Referentienummer
JN-082026-7077979

Vacature samenvatting

Sector
Finance
Sub Sector
Treasury / Cash Management
Industrie
Property
Vacatures per locatie
Amsterdam
Contract Type
Permanent
Consultant
Trinity Tung
Vacature referentie
JN-082026-7077979
Kantoor of thuiswerk
Thuiswerken/hybride