Treasury Manager (mid Office)

Nebius

Amsterdam, Netherlands
On-site
Execute daily treasury activities
Manage and process fx transactions
Develop short- and medium-term cash flow forecasts
Nebius is seeking a Treasury Manager for its Amsterdam office, responsible for overseeing treasury operations, cash management, and liquidity planning. The ideal candidate will have a strong background in treasury functions, including FX management and compliance with SOX regulations

Job Summary

  • Nebius is leading a new era in cloud computing to serve the global AI economy, creating tools for customers to solve real-world challenges without massive infrastructure costs.
  • The Treasury Manager (Mid Office) will be responsible for the operational execution, control, and management of treasury activities, focusing on payments, FX execution, liquidity management, and cash flow forecasting.
  • We offer a competitive salary and comprehensive benefits package, opportunities for professional growth, flexible working arrangements, and a dynamic, collaborative work environment.

Matching Summary

Match Score: 85

Nebius is seeking a Treasury Manager for its Amsterdam office, responsible for overseeing treasury operations, cash management, and liquidity planning. The ideal candidate will have a strong background in treasury functions, including FX management and compliance with SOX regulations.

Skills & Requirements

Must-have

  • Execute daily treasury activities
  • Manage and process FX transactions
  • Develop short- and medium-term cash flow forecasts
  • Manage and monitor SPV cash flows
  • Ensure compliance with SOX requirements
  • Hands-on experience with treasury systems (Kyriba preferred)

Nice-to-have

  • Familiarity with cash pooling structures
  • Experience in a SOX-controlled environment
  • Continuous improvement of control environment
  • High attention to detail
  • Structured, detail-oriented, and process-driven approach

Key Requirements

  • 5–8+ years of experience in treasury operations
  • Bachelor’s or Master’s degree in Finance, Economics, or related field
  • Strong understanding of FX products and settlement processes
  • Experience with cash flow forecasting and liquidity management
  • Experience in a SOX-controlled or public company environment

Work Rights

Not specified

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