We are searching for suitable candidates who can distinguish themselves by:
- At least three years operational experience in treasury front, middle or back office functions;
- Knowledge of treasury and electronic banking systems;
- Strong verbal communication;
- An open, flexible and result-oriented personality;
- Independence and initiative.
Interim Cash & Treasury Manager operates as independent and such posses the capacities to fulfill their function. A Statement of Employment Status (Verklaring Arbeidsrelatie) must be submitted.
The Interim Cash & Treasury Manager is expected to perform the following tasks:
- Independently offer treasury operations support to our clients;
- Providing leadership to staff within the client organization treasury;
- Giving practical advice on the organizational structure and change.
The work is carried out under the responsibility of a director of Orchard Finance, but requires a high degree of independence and the ability to contribute to several projects simultaneously.
For enquiries about this position, please contact Peter Paul de Galan at +31 (0)346 - 29 07 40.
