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Accounting & Treasury Manager

Accounting & Treasury Manager

PaymentGenes RecruitmentAmsterdam, North Holland, Netherlands
26 dagen geleden
Functieomschrijving

Our client is an international industrial technology company based in the Netherlands, known for delivering precision-engineered machinery and systems to a global customer base. With a strong focus on innovation, quality, and operational excellence, the organization is scaling rapidly and offers a dynamic, collaborative work environment for driven professionals.

About the Role

We are seeking a skilled and detail-oriented Accounting & Treasury Manager to oversee core accounting operations and manage day-to-day cash flow and liquidity planning. This role is crucial for maintaining accurate financial records, supporting payroll coordination, and ensuring efficient treasury processes. You will lead a small team of bookkeepers and work closely with both internal and external stakeholders to deliver high-quality financial control and reporting.

Key Responsibilities :

Accounting Oversight

  • Supervise daily accounting operations, including journal entries, reconciliations, and ledger integrity
  • Oversee accounts payable and receivable processes to ensure accuracy and timely processing
  • Ensure compliance with applicable accounting standards, tax regulations, and internal policies

Cash Flow & Treasury Management

  • Prepare and maintain daily cash flow reports, analyzing actuals vs. forecasts
  • Develop and update short-term cash flow forecasts to inform liquidity decisions
  • Monitor bank balances, cash movements, and funding requirements in real time
  • Forecasting & Financial Reporting

  • Support month-end and year-end close processes with accurate reporting of cash and accounting positions
  • Provide insights and analysis on cash flow trends to support planning and risk mitigation
  • Liaise with financial institutions on day-to-day treasury operations and account management
  • Payroll Coordination

  • Coordinate with internal teams and external providers to ensure accurate and timely payroll processing
  • Reconcile payroll transactions and ensure proper general ledger alignment
  • Ensure compliance with statutory payroll reporting and tax filing requirements
  • Internal Controls & Process Improvement

  • Maintain strong internal controls over financial processes, especially those impacting cash, payroll, and accounting accuracy
  • Identify and implement opportunities for automation and process efficiency
  • Support internal and external audits through the preparation of schedules and documentation
  • Key Relationships

    Internal : Financial Controller, Finance Team, Operations

    External : Clients, Banks, Payroll Providers, Auditors

    Requirements

  • Bachelor’s degree in Accounting, Finance, or a related field (CPA or equivalent preferred)
  • 5–7 years of accounting experience, including exposure to cash flow management and payroll
  • Strong knowledge of Dutch accounting standards and financial regulations
  • Proficiency with ERP systems (e.g., SAP, Oracle, NetSuite) and advanced Excel skills
  • Analytical mindset, excellent attention to detail, and strong organizational skills
  • Ability to thrive in a fast-paced, evolving environment and manage multiple priorities
  • Performance Indicators :

  • Accuracy and timeliness of daily cash flow and forecast reporting
  • Compliance with payroll deadlines and statutory requirements
  • Quality and integrity of financial records and reconciliations
  • Audit readiness and outcomes
  • Implementation of process improvements and efficiency gains
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    Manager Accounting • Amsterdam, North Holland, Netherlands