As Treasury & Finance specialist you will work closely with team members in Belgium and our other European branches, HQ in Frankfurt and HQ in South-Korea.
A junior-level finance position supporting HQ treasury reporting & Ad-hoc Report, branch treasury integration, and participating in financial closing/audit activities across seven European branches.
Treasury Integration & HQ Reporting Support
-Work closely with the HQ Global Finance Team to support and enhance global treasury operations
-Support the integration of treasury operations across 7 European branches to reduce cost and risk while improving working capital efficiency
-Daily cash position and cash pooling support
-Support cash flow forecasting and liquidity monitoring
Finance Projects (Process / Systems / Policy)
-Participate in process improvement initiatives and automation projects
-Support data governance initiatives and reporting standardization
Internal Control & Financial Governance
-Support IACS/SOX-like controls and internal control matrix
-Assist with testing key controls (closing, revenue, payments, treasury)
-Contribute to drafting, updating, and training of financial policies (accounting policy, approval authority, limits, treasury operations, guarantee/insurance workflows)
Closing, Reporting & Audit Support
-Support monthly/quarterly/year-end closing activities (cut-off validation, journal entries, reclassifications, accruals, provisions)