
Treasury Analyst (m/w/d)
- Amsterdam, Noord-Holland
- Vast
- Voltijds
- Manage cash flow and liquidity to ensure optimal financial performance
- Manage intercompany and external debt
- Manage Intercompany netting process
- Manage foreign exchange risk and propose actions
- Enhance finance processes and control treasury operations accordingly
- Design key treasury KPIs and reporting (on bank fees, on FX hedging etc.)
- Handle the daily operations with internal/ external parties (e.g. banks)
- Ensure the completion of Know Your Customer (KYC) requests
- Be instrumental in the short-term liquidity forecasting process of Coty (reporting and animation)
- Maintain Bank platforms
- Lead bank guarantees process (animation, issuance, reporting)
- Be involved in major projects of the corporate treasury department (Treasury Management System enhancements, cash pooling set-up, review of capital structure of the legal entities etc.)
- Education: bachelor’s or master’s degree in finance, accounting, or similar
- 2-3 years of relevant experience in treasury or corporate finance
- Analytical skills
- Strong eye for detail
- Able to work in a dynamic environment
- Self-starter, curious
- Comfortable taking on responsibilities and providing added value
- Good administrative and communication skills
- Team player
- Competitive salary based on your qualities and experience
- Attractive benefits package
- A healthy, fresh and sustainable lunch for a discount price
- A brand new building in the business area of Amsterdam-Zuid. The office is designed to maximize your performance, based on the new ways of working.
- A telephone/online introductory meeting follows
- A first online/in-person interview with hiring manager
- A second interview with key stakeholder
- You will receive a proposal with the terms of employment