Head of Treasury Operations

Brussels City Permanent

Updated on 24/05/2024

  • Opportunity to join a banking group with strong core values
  • Strategic position with participation to key projects (securitization...)

About Our Client

Our client is a banking institution.

Job Description

  • Daily management of the bank's treasury, including liquidity positions and cash flow forecasting.
  • Participation in financial committee meetings, strategic projects like securitization/covered bond programs, and monitoring of ALM analyses.
  • Preparation of regulatory reports, internal reports for management, and coordination of activities with subcontracted groups

The Successful Applicant

The ideal candidate will possess a master's degree or equivalent, with experience in treasury/ALM, financial reporting, or securitization projects. Strong analytical skills, organizational abilities, and fluency in French or Dutch are essential, with proficiency in English being advantageous.

What's on Offer

Opportunities for professional development, a supportive work environment, and a comprehensive benefits package including training, career advancement prospects, and a dynamic workplace culture.

Contact
Xavier Jacquet
Quote job ref
JN-032024-6366105

Job summary

Sector
Banking & Financial Services
Sub Sector
Treasury
Industry
Financial Services
Location
Brussels City
Contract Type
Permanent
Consultant name
Xavier Jacquet
Job Reference
JN-032024-6366105

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