We are seeking a Treasury Specialist to join our team in Amsterdam, Netherlands. As a key role in managing treasury operations, you will be responsible for daily treasury activities, including account balance monitoring, payment making, and communicating with external banks.
Requirements
- 2-3 years of experience in a Corporate Treasury Management role, preferably in an automotive or scale-up environment
- Previous experience in using different treasury instruments and products relevant to cash management, FX, and bank guarantee
- Strong team player and business partnering skills
- Ability to prioritize and work proactively with efficient time management skills
- Excellent English Language skills
- Advanced in MS Excel and PowerPoints
Benefits
- Competitive salary and benefits package
- Opportunities for career growth and development
- Collaborative and international work environment