Elke dag plaatsen we volop vacatures voor vaste banen, tijdelijke contracten en interim opdrachten in Nederland.
Ons rapport, “De Verwachtingskloof”, onthult de grootste uitdagingen voor bedrijven bij het aantrekken en behouden van toptalent.
PageGroup verandert levens en geeft je de kans om het beste uit jezelf te halen.
We staan klaar om al je vragen te beantwoorden.
De rol richt zich op het combineren van treasury control en financiële rapportage, met een grote focus op werkkapitaal, cash management en trade finance. Daarnaast werk je nauw samen met verschillende teams om processen te verbeteren, rapportages te optimaliseren en automatisering verder uit te bouwen binnen een dynamische internationale omgeving.
As Treasury Coordinator, you are responsible for managing daily and strategic treasury activities within the Dutch entity and its international group structure. You ensure liquidity, financial control and accurate cash forecasting in a growing, multi‑entity environment.
In this position, you play a key role in strengthening the organization's financial stability and liquidity position. You collaborate with experts in finance, banking, reporting, and risk management, gaining valuable exposure to all financial flows within an international setting.
The job at our client combines treasury control and working‑capital management with hands‑on involvement in improving financial processes within a fast‑growing international dairy trading company. It offers a dynamic, operational role where you support both treasury and business control while helping to professionalize cash management and trade finance.
Voor een internationaal opererende organisatie zoeken wij een Accounting & Reporting Specialist die houdt van nauwkeurigheid en complexiteit. In deze rol ben je verantwoordelijk voor reporting, audits en tax & treasury en draag je actief bij aan het optimaliseren en professionaliseren van financiële processen.
This role focuses on designing, building, and operating a secure, globally distributed Azure platform that supports mission‑critical Treasury operations across 100+ legal entities. You will have end‑to‑end ownership of Azure networking, security, governance, and automation in a highly regulated, enterprise‑scale environment.
As a Financial Controller, you will lead financial reporting, consolidation, and cash management activities within a structured finance environment. This role offers the opportunity to enhance reporting standards and support strategic financial operations within the Private Equity sector.
As FP&A Analyst, you will play a key role in financial planning, performance analysis, and management reporting. You will work closely with senior stakeholders across finance, operations, and project teams to provide actionable insights that drive growth and operational excellence.
You will play a key role in ensuring accurate financial reporting, leading the month-end close process, and providing financial insights to support business decisions. You will help strengthen the reporting processes and contribute to finance transformation.
Lead the financial control function for multiple European entities within a globally operating organisation focused on health, safety, and risk management. A high-impact role combining technical accounting, stakeholder management, and continuous improvement in an international environment.
As a Business Controller Energy, you act as a strategic finance partner to management and operations within a complex energy and production environment. You translate production, market and contract data into clear financial insights and support decision-making related to budgeting, investments and performance improvement.
Create Job alert to receive Treasury Finance jobs via email the minute they become available
Submit your CV to register with us and we will contact you if a suitable role becomes available.