Our client's Central Cash Management (CCM) Team is responsible for managing a global in-house bank and the international loan portfolio. The team oversees central cash management, forecasting, and bank relations for European Treasury Centers. In collaboration with other Treasury departments, the CCM Team proactively partners with the business to provide best-in-class cash management solutions in line with global policies.We are looking for a hands-on
Our client's Central Cash Management (CCM) Team is responsible for managing a global in-house bank and the international loan portfolio. The team oversees central cash management, forecasting, and bank relations for European Treasury Centers. In collaboration with other Treasury departments, the CCM Team proactively partners with the business to provide best-in-class cash management solutions in line with global policies.We are looking for a hands-on
Our client's Regional Treasury Service Center in Belgium serves as a strategic partner for all European affiliates. The focus is on optimizing treasury operations, ranging from daily cash management to supporting acquisitions and divestitures.We are looking for a dynamic, experienced Treasury Analyst who can hit the ground running, region of Beerse.Start date project: ASAPEnd date: 31/07/2026Work location: BeerseHybrid work schedule: 3 days officeContract
Our client's Regional Treasury Service Center in Belgium serves as a strategic partner for all European affiliates. The focus is on optimizing treasury operations, ranging from daily cash management to supporting acquisitions and divestitures.We are looking for a dynamic, experienced Treasury Analyst who can hit the ground running, region of Beerse.Start date project: ASAPEnd date: 31/07/2026Work location: BeerseHybrid work schedule: 3 days officeContract
You manage the daily accounting operations from A to Z and ensure financial accuracy within Microsoft Dynamics Business Central. In this role, you combine operational precision with strategic insight to continuously optimize our financial processes. You report directly to the Head of Accounting and act as a vital link within the organization.
You manage the daily accounting operations from A to Z and ensure financial accuracy within Microsoft Dynamics Business Central. In this role, you combine operational precision with strategic insight to continuously optimize our financial processes. You report directly to the Head of Accounting and act as a vital link within the organization.
As a General Ledger & Reporting (GL&R) Accountant, you will be responsible for ensuring accurate and timely financial administration. You will gather data from various systems, perform rigorous checks, and ensure a seamless monthly closing and reporting process.Key ResponsibilitiesData Management: Gather accounting-related information from various systems (SAP, retail, wholesale, etc.) or request data directly from local Business/Finance teams.Accuracy &
As a General Ledger & Reporting (GL&R) Accountant, you will be responsible for ensuring accurate and timely financial administration. You will gather data from various systems, perform rigorous checks, and ensure a seamless monthly closing and reporting process.Key ResponsibilitiesData Management: Gather accounting-related information from various systems (SAP, retail, wholesale, etc.) or request data directly from local Business/Finance teams.Accuracy &
let similar jobs come to you.
we will keep you updated when we have similar job postings.