CHC Treasury Cash Manager

Findhu

Aussicht: 125

Update Tag: 18-11-2025

Ort: Geel Antwerp

Kategorie: Geschäftsführung

Industrie:

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Jobinhalt

We are looking for a Treasury Cash Manager for a great project (1 year, minimum), in the Health sector:Your day-to-day

  • Manages the daily cash position of the CHC holding entity and sub-holding, ensuring optimized centralization of the liquidity at the level of holding including but not limited to:
  • Reconcile bank flows and bank balances for holding and sub-holding companies, gather and consolidate affiliates’ short-term forecasts, and manage daily cash position of holding and sub-holding companies to ensure optimization of cash (minimization of idle balances)
  • Analyze actual to short-term forecast variances and coordinate with affiliates
  • Ensure the daily financing of affiliates
  • Ensure timely and accurate processing of Treasury transfers within bank cut-off times
  • Communicate the daily liquidity position to the Corporate Liquidity Management team in due time.
  • Follow up on bank inquiries and coordinate with banks’ customer services
  • Follow-up and coordinate with the accounting departments
  • Manages In-House Bank ensuring affiliates’ intercompany current accounts management including but not limited to;
  • Ensure the correct booking of any settlement like intercompany financing (ZBA, bank transfers), foreign exchange hedging related transactions, Internal Payment Order (IPO)
  • Perform the interest calculation on the intercompany current accounts
  • Monitor the intercompany invoices settlement process
  • Perform the end-of-day activities ensuring the sending of intercompany bank statements to affiliates
  • Perform month-end closing in coordination with the Corporate In-House Bank team

About you

  • Bachelor’s degree – preferably Master’s degree – in business administration, finance, accounting or economics
  • Treasury Certification is a plus
  • Experience in Financing & Treasury activities in Multinational companies, preferably Corporate Treasuries
  • Experience with Cash Management Structures (Zero-Balancing, Notional Pooling) and with In-House Bank in international environments
  • Experience with Sarbanes-Oxley
  • Experience with Treasury Management Systems
  • Other experiences in various senior finance roles within an international environment are a plus
  • Advanced analytical skills, financial acumen, accuracy, and attention to detail
  • Building partnerships and trust over time with partners internally and also externally with banks
  • Proven presentation skills, ability to communicate, assertiveness
  • Team player, proactive and solution-oriented
  • Good background in accounting and/or financial analysis
  • Proven ability to manage multiple projects, and work effectively with cross-functional partners
  • Strong capabilities in MS Excel
  • Knowledge of Treasury Management Systems, S/4HANA Treasury System knowledge is a plus
  • Languages: fluent written and spoken English

Job Types: Full-time, Temporary contract

Benefits:

  • Company phone
  • Food allowance
  • Life insurance

Schedule:

  • Day shift
  • Monday to Friday

Experience:

  • Treasury: 4 years (Required)
  • Finance: 4 years (Required)

Language:

  • English (Required)
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Frist: 02-01-2026

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