This role supports the Finance Group Treasury & Corporate Line by managing financial control and management accounting activities for Group Treasury
Job Summary
This role supports the Finance Group Treasury & Corporate Line by managing financial control and management accounting activities for Group Treasury.
The position offers strong exposure to international stakeholders and requires working closely with teams in the Netherlands and other global locations.
Candidates will be responsible for preparing management information dashboards, monitoring expenses, and contributing to process improvements and data quality initiatives.
Matching Summary
This role supports the Finance Group Treasury & Corporate Line by managing financial control and management accounting activities for Group Treasury.
Skills & Requirements
Must-have
Strong analytical and quantitative skills
Proficient in Microsoft Excel
Solid foundation in management accounting
Experience with variance analysis and forecasting
Ability to create executive-ready presentations
Nice-to-have
Interest in Power BI and data visualization
Proactive and eager to learn complex topics
Experience in international shared services environment
Knowledge of Treasury and Financial Markets
Strong cross-border communication skills
Key Requirements
Bachelor's degree in Finance, Economics, or Financial Management
3–5 years of relevant experience in management accounting or financial control