Finance - Treasury Expert
Duties
- Process all approved payments with proper controls, approvals, and documentation
- Execute payroll payments and multi-currency transfers in coordination with HR/finance
- Monitor daily cash positions and manage liquidity; support short-term cash forecasting
- Handle intercompany transactions
- Assess counterparty risk and support mitigation actions in line with NATO/NCIA rules
- Support treasury systems (especially Kyriba) for payments, reconciliation, and reporting automation
- Ensure compliance with regulations (NATO rules, NCIA policies, IPSAS) and prepare financial reports
- Perform bank and account reconciliations; investigate and resolve discrepancies
- Implement and monitor internal controls under the Treasury Internal Control Framework
- Maintain up-to-date process documentation (SOPs, workflows, training materials)
Requirements
Education
- Higher vocational degree 2 years relevant experience
- OR secondary education 4 years relevant experience
Experience
- 2–4 years in finance/treasury-related roles
- Experience with financial data handling and reporting
- Strong Excel skills
- Experience with ERP systems and banking tools
- Experience with Treasury Management Systems (preferably Kyriba)
Technical Skills
- Proficiency in Excel, ERP systems (e.g. SAP, Oracle)
- Experience with treasury systems (Kyriba preferred), including payments, cash forecasting, reconciliations
- Exposure to system implementation/configuration is a plus
Other
- NATO Secret clearance required
- Full-time on-site in Brussels