On behalf of an international industrial group with significant operations in Belgium, we are recruiting a Treasury Coordinator to strengthen the Treasury & Credit Management team.
In this role, you will report directly to the Group Treasury Manager and play a key role in supporting both strategic and operational treasury activities. The position offers broad exposure to financing, risk management, forecasting and stakeholder coordination within an international environment.
Key Responsibilities:
Lead and support debt financing initiatives and maintain strong relationships with banking partners
Prepare and negotiate loan agreements and financing contracts
Monitor compliance with financial covenants and regulatory requirements
Contribute to budgeting and forecasting processes
Manage relationships with external stakeholders, including financial institutions
Develop and strengthen banking relationships in the African region
Support foreign exchange (FX) management at group level
Act as a key point of contact for internal and external stakeholders on treasury-related matters
Drive strategic, operational and process improvements within Treasury & Credit Management
What Our Client Offers:
A key role within a dynamic, international organisation
Direct exposure to senior finance leadership
A high level of responsibility and autonomy
Competitive remuneration package with additional benefits
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