Start Date
Immediate
Expiry Date
09 Dec, 25
Salary
0.0
Posted On
10 Sep, 25
Experience
5 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Kyc, Finance, European Languages, English, Microsoft Office, Stakeholder Engagement, Discretion, Economics, Automation, Data Privacy, Documentation
Industry
Banking/Mortgage
Work Flexibility: Hybrid
We are seeking a highly skilled Senior Treasury Analyst to join our European Core Treasury Operations team in Amsterdam. As part of a small, agile team, you’ll help manage the operational needs of 80+ legal entities across 30+ countries, overseeing over 200 bank accounts and working with 30+ financial institutions.
You will contribute to the smooth execution of treasury operations in a dynamic, fast-paced environment shaped by international growth and frequent M&A activity.
The focus is on executing corporate banking requirements and documentation, with strong ownership, cross-functional collaboration, particularly in corporate account management and regulatory compliance. Bank account changes, signatory updates, and KYC-related tasks occur frequently and are a central part of this role.
Operating within timelines driven by banks and business needs, the position requires adaptability to shifting deadlines while maintaining high standards of accuracy and compliance. The ideal candidate thrives where operational demands are high, precision and attention to detail are essential, deadlines are non-negotiable and high-stakes timelines require reliability and focus.
MINIMUM QUALIFICATIONS/EXPERIENCE
SKILLS & COMPETENCIES
How To Apply:
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ADDITIONAL TREASURY RESPONSIBILITIES
While your core focus will be on bank accounts maintenance and KYC, you will also support broader treasury activities: