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Group Treasurer

Posted 1 day 5 hours ago by Investigo

Permanent
Not Specified
Other
Noord-Holland, Netherlands
Job Description

Investigo are currently partnered with an International business looking to bolster their finance team in Amsterdam with a Head of Treasury.


Job Purpose

The Group Treasurer will be responsible for managing the company's liquidity, funding, and financial risk management strategies across all operational regions. This role requires a seasoned treasury professional with experience in international cash management, capital markets, and regulatory compliance in multiple jurisdictions.


Key Responsibilities:


Liquidity and Cash Management:

  • Develop and implement cash management strategies to ensure optimal liquidity across all operating countries.
  • Oversee daily cash flow monitoring and forecasting to maintain sufficient working capital.
  • Establish and maintain banking relationships to optimize transaction efficiency and cost-effectiveness.


Funding and Capital Management:

  • Work with the funding and investor management team to develop and execute the group's funding strategy, including debt financing, equity raising, and other structured finance solutions.
  • Monitor and ensure compliance with borrowing covenants and financial obligations.


Financial Risk Management:

  • Implement strategies to mitigate foreign exchange, interest rate, and credit risks.
  • Monitor and manage currency exposure, ensuring effective hedging strategies where applicable.
  • Develop and enforce treasury policies and controls to safeguard financial assets.


Regulatory and Compliance:

  • Ensure adherence to financial regulations and reporting requirements in all operating countries.
  • Collaborate with legal and compliance teams to navigate cross-border financial regulations.
  • Maintain compliance with anti-money laundering (AML) and counter-terrorism financing (CTF) guidelines.

Treasury Operations and Technology:

  • Implement and enhance treasury management systems (TMS) to streamline operations.
  • Automate treasury processes to improve efficiency and accuracy.
  • Collaborate with IT teams to ensure data security and system integrity.


Qualifications & Experience:

  • Bachelor's or Master's degree in Finance, Economics, Accounting, or a related field.
  • Professional certification (e.g., CFA, CTP, ACT) preferred.
  • 8+ years of experience in treasury, cash management, or corporate finance, with at least 3 years in a senior role.
  • Experience in microfinance, fintech, or banking sectors is highly desirable.
  • Strong knowledge of international financial markets, capital raising, and risk management.
  • Proven track record in managing multi-currency and cross-border transactions.
  • Familiarity with financial regulations in emerging markets.

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