Currently I am looking for a Treasury Manager for the Dutch office of an international bank.
Due to Brexit the Netherlands office of this bank has been growing rapidly over the past years. Resulting in a young and dynamic organization of around 200FTE, which is still growing with a rapid pace and is currently looking for a Treasury Manager.
Within this position you will be responsible for:
- liquidity management
- cash management
- funding management
- capital management
- market risk
- trade execution
- funds transfer pricing
A position with a broad scope and a lot of visibility in a growing organization.
Feel free to get in touch in case this is something you would like to further explore.