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Important information
Contract type:
Freelance
Daily rate:
Salary according to profile
Location:
Kortenberg, Belgium
Starting date:
8 weeks or more
Work mode:
Hybrid
Published on:
3 June 2026
What they need
We are looking for an Interim Head of Treasury to lead the treasury function of a major automotive group with a multi-entity structure. This is a ~12-month transition mission with a handover to a permanent successor (potentially internal). The role reports directly to the CFO and manages a small team (1 Treasury & Cash Management Analyst front-office + 1 Treasury Back Office Analyst), with coordination across the SSC and local finance teams.
MISSIONS
Cash & Liquidity Management
Daily cash positioning, cash pooling, intercompany transfers
- Short and medium-term cash forecasting
- Optimization of cash concentration
Excess Cash Placement
Placement in MMFs, term deposits, and commercial paper within risk limits
-Counterparty monitoring
Treasury Risk Management
Interest rate and counterparty risk management
Hedging proposals and execution
ISDA/GMRA documentation
Segregation of duties
Funding Execution
Drawdowns and repayments on credit facilities and bilateral/interco loans
- Covenant monitoring and lender reporting
Bank Relationship Management
KYC, pricing, credit lines, banking rationalization
Fee negotiation
Treasury Reporting
Net debt, liquidity, exposures, facilities reporting
TMS integrity management
People Management
Management of 2 analysts
Partnership with finance, controlling, tax, legal, and business units
Governance
Treasury policies and KPIs (liquidity, net debt, funding headroom, covenants)
Audit & internal controls (signatory management, payment controls)
Profile wanted
MANDATORY TECHNICAL SKILLS
Kyriba (TMS): BLOCKING PRE-REQUISITE — expert level required
- Cash pooling: expert
- Liquidity management: expert
- Treasury risk management (interest rate & counterparty): expert
- Isabel (payment interface): expert
- Advanced Excel
- Debt instruments / bank facilities / covenant management
- 10+ years of treasury experience, ideally in group / multi-entity treasury
- Proven experience leading a treasury function and managing a team
EDUCATION
Master's degree in Finance, Accounting, Economics, or Business Engineering (or equivalent). Treasury certification (ACT/AFTE) is a plus.
LANGUAGES
English: fluent (mandatory)
- French OR Dutch: native / bilingual (mandatory)
SOFT SKILLS
Hands-on, pragmatic, comfortable in an interim setup (both strategic and operational), strong communication and stakeholder management, ability to negotiate with banks, attention to detail.
PRACTICAL INFO
Duration: ~12 months (03/08/2026 → 03/08/2027) — short notice preferred
- Location: Kortenberg (Leuvensesteenweg 639, 3071) + hybrid remote (no full remote)
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