Treasury Manager
Pearson & Partners is recruiting a Treasury Manager for an international company headquartered in Amsterdam. The organization operates across multiple European markets and is entering a phase of accelerated growth, making treasury operations a strategic priority.
In this role, you will be responsible for daily cash management, liquidity forecasting, and optimizing the company’s banking infrastructure. You will manage FX exposure, negotiate credit facilities, and develop hedging strategies aligned with the company’s risk appetite. Reporting to the CFO, you will act as the primary point of contact for banking partners and play a key role in capital structure decisions.
The ideal candidate brings at least 8 years of treasury experience, preferably in a corporate environment with multi-currency operations. Deep knowledge of cash pooling structures, ISDA agreements, and treasury management systems (such as Kyriba or SAP TRM) is expected. Experience with debt capital markets or refinancing processes is a strong advantage.
You are analytically sharp, commercially aware, and comfortable presenting to senior leadership and external stakeholders. A CFA, ACT, or RT qualification is valued but not required if substantive experience compensates.
The company offers a competitive compensation package, hybrid working arrangements, and the opportunity to build out treasury as a strategic function within a growing organization. The role is based in Amsterdam with occasional travel to European subsidiaries.