Hybrid Treasury Officer: Cash, Forecasting
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Vandemoortele in Gent, Belgium, seeks a Treasury Officer to join the central Treasury team. You monitor daily cash positions, support liquidity management, and assist in cash forecasting and reporting.
You execute treasury transactions, support cash pooling and intercompany funding, manage bank accounts, and contribute to FX and interest rate risk management; you also participate in treasury projects and cooperate with accounting, controlling, tax and finance.