Save Job Back to Search Job Description Summary Similar Jobs Added 08/04/2026Shape treasury operations across an entire global region from LuxembourgAccelerate your finance career within a world-class, entrepreneurial environmentAbout Our ClientOur client is a privately held, globally integrated enterprise with a workforce of several tens of thousands of professionals operating across multiple continents. The organisation has built a formidable reputation over decades by maintaining a presence across a broad and diversified portfolio of industrial, technological, and financial sectors.Driven by a deeply embedded entrepreneurial culture, the company consistently encourages its people to challenge conventional thinking, identify new sources of value, and take ownership of their contributions. Individual performance is recognised and rewarded in a meaningful and transparent manner.Their Luxembourg office represents a growing and strategically important node within the organisation's European financial operations.Job DescriptionEMEA Cash Management: Oversee day-to-day cash management, short-term investments, and foreign currency activity across multiple affiliated entities in the EMEA regionBanking Partnerships: Collaborate closely with correspondent banks to optimise cash pooling architectures, short-term liquidity positions, and FX execution strategiesTransaction Processing: Support and execute strategic financial transactions that align with broader organisational objectivesProcess Innovation: Leverage technology solutions to modernise treasury workflows and enhance liquidity efficiencyFinancial Controls: Uphold robust internal controls across all treasury processes to ensure compliance and operational integrityReporting & Visibility: Develop and maintain cash flow reporting frameworks; produce periodic management-ready reports on treasury metrics and performance indicatorsStakeholder Engagement: Cultivate strong, trust-based relationships with internal teams - including tax, legal, and accounting - as well as external counterparties and banking partnersThe Successful ApplicantEssential Qualifications:Bachelor's degree in Finance, Accounting, or EconomicsDemonstrated experience in treasury operations and cash management functionsFull professional fluency in English (additional languages are an asset)Strong capacity to prioritise and manage competing demands in a fast-paced environmentPreferred Attributes:Proficient user of Microsoft Office Suite (Excel, PowerPoint, Outlook)Hands-on experience with Kyriba Treasury Management System or equivalent TMS platformsAbility to operate autonomously while remaining a collaborative and engaged team memberCross-functional experience working across multiple business units and geographic territoriesFoundational knowledge of FX risk management principlesProactive, contribution-driven mindset with a genuine commitment to delivering resultsWhat's on Offer π Structured career progression within a prestigious global financial services groupπ Ongoing training and lifelong learning programmes tailored to professional developmentπ° Competitive, market-aligned compensation packageβ° Flexible working hours to support work-life balanceπ₯ Comprehensive health insurance coverageπ½οΈ Meal vouchers providedContactThomas de LoozQuote job refJN-042026-6990010Job summarySectorFinanceSub SectorTreasuryIndustryIndustrial / ManufacturingLocationLuxembourg CantonContract TypePermanentConsultant nameThomas de LoozJob ReferenceJN-042026-6990010Remote or officeWork from home