Vacatures
>
Amsterdam

    Senior Treasury Specialist - Amsterdam, Nederland - Booking

    Booking
    Booking Amsterdam, Nederland

    Gevonden in: Talent NL C2 - 6 dagen geleden

    Booking background
    Beschrijving

    Job Summary

    is looking for an experienced Senior Cash Manager to join our centralised Treasury team in Amsterdam.

    This is a crucial role in the execution, evolution and improvement of core Treasury and cash management activities related to our Payments Business Model and supporting regulated activities.

    You will be part of an experienced team and will report to the Team Lead Cash Management - Payments, playing a leading role in the development of the global cash management function to align with regulatory frameworks in relation to safeguarding of third party funds, while ensuring that short term liquidity forecasting and optimisation models are developed, maintained and applied to support key liquidity and funding decisions.

    You will take part in ongoing transformation projects and process redesign areas, inclusive of control identification, creation and testing together with design and implementation activities for CM processes within Treasury systems for newly built regulated entities.

    Due to the continuous growth and evolution of the organization, the tasks and duties of this role will evolve over time. You will be keen to develop and grow within the role and challenge yourself to take on additional projects and responsibilities as required.

    Tasks & Responsibilities

  • Lead the day to day cash management operations of applicable entities in accordance with regulatory frameworks and applicable laws to include, cash concentration activities, payment initiation and settlements, safeguarding activities, money market investments and redemptions, account funding, and management reporting
  • Take a lead role in setting up efficient cash and liquidity management structures, ERP and TMS set up for cash management processes
  • Develop with our data analytics and financial systems team short term cashflow forecasts for our payments business model
  • Operate, supervise and improve short term developed forecasts, supervising forecasted results versus actuals, providing insights and rationale for key variances
  • Perform ad-hoc projects, tasks and analysis to help support decisions, resolve issues or support other business needs related to cash management activities
  • Drive, implement and improve weekly / monthly critical metric and cash management reporting to leadership team
  • Drive operational excellence across all areas of direct ownership and develop internal controls, process documentation and desktop procedures related to Payments Business Unit and regulated activities
  • Monitoring of working capital balances to ensure adequate and appropriate cash levels are held in applicable currencies to support operational needs for relevant entities and business models
  • Support a continuous improvement program through identifying issues, working with key internal partners to include our FinTech unit, Payment Operations and other finance functions to improve E2E process through both process and system improvements
  • Global issue individual for all cash management activities to support the cash management requirements of payment business divisions and regulated payment flows
  • Build relationships across the business to be a trusted business partner and problem solver on cash management issues
  • Support critical system implementation projects and lead / drive discussions with Treasury and project partners to ensure outstanding end to end cash management and reporting solutions are enabled in SAP S/4 HANA.
  • Project manager for implementation of various cash management projects to include expansion of regulated activities and Global Cash and Liquidity Management solutions (Notional Pooling / Local pooling structures) and support and perform recurring activities assigned by the Corporate Cash Management Team.
  • Requirements:

  • +5 years working experience within operational treasury and cash management with specific experience in relation to corporate cash management, Liquidity planning, implementing operational process and controls and Foreign Exchange Management.
  • Master degree in Finance or Economics or applicable field
  • Demonstrated direct experience in Treasury Cash Management and preferably experience of performing a similar role for an international regulated entity (Financial Institution, licensed Payment Service Provider)
  • Designation as a certified Cash Manager or Certified Treasury Professional is a plus
  • Direct experience with SAP is a must
  • Broad knowledge and understanding of swift connectivity, MT messages
  • Ability to demonstrate strong project management skills and to manage multiple challenging priorities simultaneously while driving assigned projects to completion
  • Standout colleague and proven track record to work under pressure and to deadlines
  • Ability to interpret management requirements and act on them under your own initiative working autonomously to deliver across your assigned areas of responsibilities
  • Strong excel and analytical skills
  • Critical thinking and ability to lead difficult conversations with external and internal partners
  • Excellent English speaker with strong communication skills, able to adapt style and approach in order to work effectively with internal and external collaborators at all levels of seniority
  • Experience and comfortable dealing, presenting and communicating with senior management
  • Strong interpersonal skills, flexible and a positive demeanor
  • Ability to work collaboratively as part of a team and across multiple internal partners (Legal, Tax, Corporate, Payments and Local Accounting teams) to deliver successful project outcomes
  • Able to demonstrate steadfast tenacity to drive business objectives and deliver results
  • We offer:

    We are a performance-based company that offers career advancement and lucrative compensation, including bonus. We also offer what is called the "Booking Deal" with competitive benefits.

    Pre-Employment Screening:

    If your application is successful, your personal data may be used for a pre-employment screening check by a third party as permitted by applicable law. Depending on the vacancy and applicable law, a pre-employment screening may include employment history, education and other information (such as media information) that may be necessary for determining your qualifications and suitability for the position.


  • Jobs for Humanity

    Senior Treasury Specialist

    Gevonden in: Talent NL C2 - 4 dagen geleden


    Jobs for Humanity Amsterdam, Nederland Voltijd

    Job Description · Job Summary · is looking for an experienced Senior Cash Manager to join our centralised Treasury team in Amsterdam. · This is a crucial role in the execution, evolution and improvement of core Treasury and cash management activities related to our Payments Busi ...

  • Fugro

    Treasury Specialist

    Gevonden in: Talent NL C2 - 1 dag geleden


    Fugro Leidschendam, Nederland Voltijd

    Job Description · We are looking for a Treasury Specialist to join the Corporate Finance & Treasury team, based in Leidschendam. · As a Treasury Specialist you are part of the Treasury operations team, supporting the Global Cash Manager and Global Treasury Manager on a wide varie ...

  • Public Search

    BovenIj - Business Controller regio Amsterdam

    Gevonden in: Talent NL A C2 - 2 dagen geleden


    Public Search Amsterdam, Nederland Voltijd

    Jij komt te werken op onze afdeling Financiën & Control (F&C). F&C is verantwoordelijk voor een kwalitatief goede en efficiënte uitvoering en beheersing van de financiële administratie, business control, treasury, de coördinatie van zorgverkoop, de boekhouding, salarisadministrat ...

  • Brand New Day

    ALM-Specialist Renterisico

    Gevonden in: Talent NL C2 - 2 dagen geleden


    Brand New Day Amsterdam, Nederland Voltijd_fixed_term

    Brand New Day is een bank. Een jonge, flink groeiende bank, welteverstaan. En dus komt er hier heel wat spaargeld binnen. Met dat spaargeld moeten we slim omgaan. Dus zo winstgevend mogelijk investeren, zónder daarbij de risico's uit het oog te verliezen. Om het renterisico te ma ...

  • Goodman Masson

    VP/D - DCM Hybrid Capital Structurer (Amsterdam) | Amsterdam, NL

    Gevonden in: Jooble NL O C2 - 4 dagen geleden


    Goodman Masson Amsterdam, Nederland

    VP/D - DCM Hybrid Capital Structurer (Amsterdam) · Goodman Masson Amsterdam, Netherlands Posted 2 months ago Permanent Competitive + Bonus + Benefits + Relocation (if applicable) I am working with a Global Bank who are looking to hire a VP/D with a good knowledge of Bank Capital ...

  • ABN Amro

    Structured Products Specialist

    Gevonden in: Talent NL C2 - 1 dag geleden


    ABN Amro Amsterdam, Nederland

    Structured Products SpecialistIn het kort · Je volgt de financiële markten op de voet. Op basis van de marktontwikkelingen en klantbehoeftes bedenk je gestructureerde producten als mogelijke beleggingsoplossing. Je begeleidt het gehele proces van idee generatie tot het uiteindeli ...

  • Public Search

    Business Controller

    Gevonden in: Jooble NL O L C2 - 1 dag geleden


    Public Search Amsterdam, Nederland Voltijd

    Jij komt te werken op onze afdeling Financiën & Control (F&C). F&C is verantwoordelijk voor een kwalitatief goede en efficiënte uitvoering en beheersing van de financiële administratie, business control, treasury, de coördinatie van zorgverkoop, de boekhouding, salarisadministrat ...

  • ING

    IFRS Accounting Advisor

    Gevonden in: Talent NL C2 - 4 dagen geleden


    ING Amsterdam, Nederland Voltijd

    Finance Group Treasury & Corporate Line (GT & CL) is looking for an IFRS Accounting Advisor for the Hedge Accounting Centre, with a strong financial background and the desire to work in an ambitious and dynamic finance team with a high level of business expertise and specialist ...

  • ING

    IFRS Accounting Advisor

    Gevonden in: Talent NL C2 - 4 dagen geleden


    ING Amsterdam, Nederland Voltijd

    Finance Group Treasury & Corporate Line (GT & CL) is looking for an IFRS Accounting Advisor for the Hedge Accounting Centre, with a strong financial background and the desire to work in an ambitious and dynamic finance team with a high level of business expertise and specialist k ...

  • ING Bank N.V.

    Calypso DevOps Engineer

    Gevonden in: Jooble NL O C2 - 4 dagen geleden


    ING Bank N.V. Amsterdam, Nederland

    ING is looking for an experienced DevOps Engineer with Calypso Techno functional experience within the Financial Markets & Group Treasury (FM>) domain. Our primary function is to service the needs of ING's clients with products, services and advice. FM> aims to be a leading mar ...

  • BDO Nederland

    Adviseur Asset liability management

    Gevonden in: Talent NL C2 - 2 dagen geleden


    BDO Nederland Amsterdam, Nederland

    We bieden · Een goed salaris · Laptop en thuiswerkset/-vergoeding · Mobiliteitsbudget · We vragen · Dienstverlenende instelling · Minimaal 4 jaar werkervaring · Afgeronde universitaire masteropleiding · Waarom BDO? · Goede werk-privé balans · Ruimte om jezelf te ontwikk ...

  • Wessanen Nederland Holding BV

    Local General Accountant

    Gevonden in: Talent NL C2 - 2 dagen geleden


    Wessanen Nederland Holding BV Amsterdam, Nederland

    The more diverse an ecosystem is, the richer and more resilient it is. This is the reason why we are looking for people from any background who are inspired and motivated by the wish to make things better; to be guided by the natural world in everything we do; to enrich lives and ...

  • MUFG

    Traineeship: Analyst Program

    Gevonden in: Talent NL C2 - 4 dagen geleden


    MUFG Amsterdam, Nederland Voltijd

    Do you want your voice heard and your actions to count? · Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), the 7th largest financial group in the world. Across the globe, we're 160,000 colleagues, striving to make a difference for every client, organization ...

  • Bovenij Ziekenhuis

    Concerncontroller

    Gevonden in: Talent NL C2 - 3 dagen geleden


    Bovenij Ziekenhuis Amsterdam, Nederland

    Hier kom jij te werken · Jij komt te werken op onze afdeling Financiën & Control (F&C). F&C is verantwoordelijk voor een betrouwbare en een kwalitatief goede en efficiënte uitvoering en beheersing van de financiële administratie, business control, treasury, fiscale zaken, de coö ...

  • ING

    Calypso DevOps Engineer

    Gevonden in: Talent NL C2 - 4 dagen geleden


    ING Amsterdam, Nederland Voltijd

    ING is looking for an experienced DevOps Engineer with Calypso Techno functional experience within the Financial Markets & Group Treasury (FM>) domain. Our primary function is to service the needs of ING's clients with products, services and advice. FM> aims to be a leading mark ...

  • ABN AMRO Bank

    DCM Hybrid Capital Structurer

    Gevonden in: Talent NL C2 - 2 dagen geleden


    ABN AMRO Bank Amsterdam, Nederland

    Your job · Markets advises and executes with large corporate and FI clients complex financing & Investment structures which frequently require the involvement of several product lines. Within Markets, Debt Capital Markets (DCM) offers its clients a diverse range of capital and f ...

  • Bovenij Ziekenhuis

    Business controller

    Gevonden in: Talent NL C2 - 5 dagen geleden


    Bovenij Ziekenhuis Amsterdam, Nederland

    Hier kom jij te werken · Jij komt te werken op onze afdeling Financiën & Control (F&C). F&C is verantwoordelijk voor een kwalitatief goede en efficiënte uitvoering en beheersing van de financiële administratie, business control, treasury, de coördinatie van zorgverkoop, de boekh ...

  • ABN Amro

    DCM Hybrid Capital Structurer

    Gevonden in: Talent NL C2 - 3 dagen geleden


    ABN Amro Amsterdam, Nederland

    DCM Hybrid Capital StructurerAt a glance · Are you ready to join a dynamic and successful DCM team? With your knowledge of bank capital, credit ratings and Liability Management we can further improve the DCM product offering to our Pan-European clients. · Your job · Markets advis ...

  • ING

    Circle Lead

    Gevonden in: Talent NL C2 - 4 dagen geleden


    ING Amsterdam, Nederland Voltijd

    As Circle Lead Financial Markets & Group Treasury Accounting Services you are responsible for the Accounting processes as well as the timely and accurate preparation of the P&L and Balance Sheets for the entities in scope of COO Finance. You lead a cross-border team and are respo ...

  • ING

    Customer Journey Expert

    Gevonden in: Talent NL C2 - 4 dagen geleden


    ING Amsterdam, Nederland Voltijd

    Your work environment · Financial Markets (FM) is the Bank's gateway to the professional markets around the world. Our primary function is to service the needs of ING's clients with products, services and guidance. FM aims to be a significant player in our market leader and chal ...