27 van 221
Locatie:
1000 Amsterdam
Nederland
Contract:
Voltijds, Onbepaalde duur
Datum Gepubliceerd:
02 juli 2024
Treasury Analyst
- Avantium
- Noord-Holland
- Management & Consultancy
- 6 dagen geleden
Avantium is a pioneer in the emerging industry of renewable and sustainable chemistry. We are an innovation-driven company dedicated to developing and commercializing breakthrough technologies that will transform the chemical and plastics industry. Our focus is on revolutionizing polyesters, and other chemicals, enabling the production of fully circular plastics that can be indefinitely recycled. We believe this is the area with the most potential to drive the industry towards becoming fossil-free. Our plant-based materials can be used in packaging, textiles, film and more – everyday items fit for today's world. Aside from being fully scalable, our products are economically competitive, fully recyclable and superior in performance.
We are seeking a high potential, dynamic, process and detail-oriented Treasury Analyst to join our Finance Team in our Head Office in Amsterdam. The successful candidate will perform a wide range of Treasury tasks.
Main responsibilities include daily cash positioning and cash management, cash flow forecasting, as well as monthly reporting including Treasury Report. This role is a great opportunity for a candidate who is interested to work in a Treasury function, ideally as a second step for a person with initial treasury experience. In this role you will report to the Head of Finance and Control.
Responsibilities
Prepare cash flow positioning and forecast analysis (short-term to long-term) for the Avantium Group to ensure the group has sufficient cash to make payments and adequate liquidity for future obligations/plans
Implement cash pooling structures to consolidate cash balances and optimize interest income/expenses across multiple entities/accounts
Maintain cash management procedures and controls to ensure compliance with internal controls and regulatory requirements
Execute and monitor outgoing payments including SEPA payments, foreign currency payments in accordance with established procedures
Reconcile transaction data and investigate discrepancies or errors in payment processing workflows
Provide banks with supporting documentation on outgoing and incoming transactions
Work as key support for the finance team on all Treasury related topics
Prepare accurate audit documentation and provide support for Internal, External and Tax audits
Work with relevant stakeholders to update account signatories, including annual rectifications
Participate and actively support various Treasury and cross-functional projects
Collaborate with the team on centralisation activities e.g. payments, e-banking administration and KYC
Perform a weekly bank reconciliation
Support the administration of bank accounts including opening, closing accounts, bank mandates and KYC requests
Contribute to the monthly and quarterly Treasury reports to senior management
Maintenance of treasury master data and the group’s online banking platform
Monitory and analyse payment trends, transaction volumes and payment processing metrics to identify opportunities for process improvements and cost savings
What do you bring?
As Treasury Analyst you have experience in Cash Flow forecasting and strong financial modelling and analytical skills, with the ability to translate data into practical insights. Excellent communication and presentation skills, with the ability to effectively communicate cashflow information to both financial and non-financial stakeholders.
Minimum requirements:
Bachelor’s degree in Finance/Accounting/Economics preferred
At least 2 years in back/middle office of a Corporate or a Bank
Strong analytical, interpersonal, and communication skills required both written and verbal (English)
Strong understanding of cash flow dynamics, liquidity management principles, loan structuring, and financial instruments
Familiarity with IFRS principles
Excellent working knowledge of Microsoft Excel required. Knowledge of PowerBI is a big plus.
Ability to work in a rapidly changing environment, as well as obtaining results through collaboration and coordination with multiple stakeholders, both internal and external
Demonstrated ability to meet deadlines while prioritizing workload accordingly
What do we offer?
Our people come from different backgrounds, cultures, and genders. Creative mindset and innovative way of thinking is what differentiates us from others. We also have big growth ambitions, which means you contribute to diverse projects and learn new skills and develop yourself professionally.
Besides an innovative and international work environment, we also offer a good work-life balance, a competitive salary plus bonus, 25 holidays, pension plan, access to GoodHabitz training platform, and a NS Business Card which you can use for all types of public transport.
Interested?
If this description matches your skills or interest, feel free to contact us. We will be happy to show you the innovative world of Avantium. You can reach our Corporate Recruiter Kylie Hoffman at
kylie.hoffman@avantium.com
or send a message to
recruitment@avantium.com .
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