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Amsterdam
36 - 40 hours
70.000 - 80.000 EUR

Financial Controller Tax & Treasury

Bedrijfsprofiel

Our client is one of the most iconic food brands in the Netherlands. Since their inception they have made a major impact on the entire industry in which it operates. Through highly recognizable products and a focus on sustainability, the company has grown significantly in recent years, both in Europe and the US.. To support further growth they are seeking to recruit a Financial Controller (Tax & Treasury). The role is designed to lead and optimize Tony’s treasury and tax operations across all markets. The Financial Controller Treasury & Tax ensures accurate cash flow forecasting, robust liquidity management, and full compliance with VAT/Sales Tax and tax regulations. The role is pivotal in supporting strategic financial decisions through.

Job description

  • Prepare and maintain rolling cash flow forecasts to support liquidity planning and financial visibility.
  • Optimize payment processes, manage FX exposure, and maintain banking relationships to ensure efficient treasury operations.
  • Automate Bank to ERP data-flows
  • Ensure timely and accurate VAT filings and tax declarations across relevant jurisdictions, in line with regulatory requirements.
  • Deliver scenario analyses and financial models to support strategic planning and risk assessment.
  • Provide treasury and tax documentation during financial audits, ensuring completeness and timeliness.
  • Advise internal teams on treasury and tax matters, contributing to informed decision-making and compliance.

Requirements

  • Educated to a degree in Finance, Accouting or a related field and proven experience of at least
  • 3 year in a financial control function or in Audit, ideally in a midsize/ scaling international environment with multi-market experience.
  • Expertise in treasury and/or tax operations is a big plus, including the management of cash flow forecasting, foreign exchange exposure, and banking relationships. timely and accurate reporting.
  • Proven capability in cash flow and liquidity management, with experience in preparing and maintaining detailed cash flow statements and forecasts to support financial oversight and planning.
  • Skilled in financial modeling and scenario planning, supporting strategic decision-making and risk assessment through the development of robust financial models and simulations.
  • Advanced proficiency in Excel and financial systems, including the use of complex spreadsheets, formulas, and integrations with tools such as Microsoft Dynamics 365 Business Central and Power BI to analyze financial data and generate actionable insights.
  • Fluent English, strong communicator with the ability to convince stakeholders

Benefits

70/80k + benefits

Short description

Empower Financial Strategy at a Leading Global Food Brand.

Publication date

2 days ago
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Stephan Renken

Partner
(06) 40 61 53 55
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