en

Services

The Netherland’s leading employers trust us to deliver fast, efficient hiring solutions that are tailored to their exact requirements. Browse our range of bespoke services and resources.

Read more
Jobs

Our industry specialists will listen to your aspirations and share your story with the Netherland’s most prestigious organisations. Together, we write the next chapter of your career.

View all jobs
Services

The Netherland’s leading employers trust us to deliver fast, efficient hiring solutions that are tailored to their exact requirements. Browse our range of bespoke services and resources.

Read more
About Robert Walters

For us, recruitment is about more than a single job posting. We help organizations and professionals make important choices.

Read more

Work for us

Our people are the difference. Hear stories from our people to learn more about a career at Robert Walters Netherlands

Learn more

Treasury Manager (Front Office)

Save job

An international corporate treasury center, Wurth Finance, serving as the financial hub for a worldwide network of companies, is seeking an experienced German speaking Treasury Manager to strengthen its operations in Den Bosch.

About the Organisation

Würth Finance International B.V. is the in-house bank and treasury center of the Würth Group, a family-owned multinational headquartered in Germany and a global leader in assembly and fastening materials. The Group comprises more than 400 companies in over 80 countries, employing around 87,000 people worldwide.

From its offices in Den Bosch (NL) and Rorschach (CH), Würth Finance ensures the Group’s financial stability, liquidity, and risk management, supporting the continued growth of one of Europe’s most successful family-owned enterprises. The company provides financing, cash management, and treasury services to Group entities across the globe, operating at the intersection of corporate finance, risk management, and innovation.


The Opportunity

This is a unique chance to join a high-caliber international treasury team, playing a central role in managing the Group’s funding, FX exposure, and liquidity. As Treasury Manager (Front Office), you will directly contribute to the Group’s strategic and operational treasury decisions, leveraging modern systems such as Bloomberg, SAP, and 360T to deliver best-in-class solutions.

You will work closely with senior management across Europe and beyond, combining analytical precision with a commercial mindset to ensure the Group’s continued financial resilience and success.


Your Responsibilities

Front Office Treasury Management

  • Manage the Group’s FX, interest rate, and liquidity positions, ensuring optimal risk mitigation and cost efficiency.

  • Execute and monitor hedging transactions (FX forwards, swaps, and other derivatives).

  • Manage short-term investments, cash pooling, and intercompany funding to ensure liquidity across Group entities.

Financing & Market Operations

  • Support medium- and long-term financing strategies, including loan structuring and funding through banks and capital markets.

  • Maintain strong relationships with banking partners and financial institutions to secure optimal terms and access to financing.

Advisory & Collaboration

  • Partner with international subsidiaries to advise on local financing, FX risk, and treasury policy compliance.

  • Provide market insights and strategic input to management on financial risks and opportunities.

Continuous Improvement & Innovation

  • Drive the enhancement of treasury processes and systems, implementing automation and digital tools.

  • Collaborate with IT and back-office teams to streamline transaction workflows and reporting.


What We’re Looking For

  • Bachelor’s or Master’s degree in Finance, Business Administration, or Banking & Finance.

  • Experience in a corporate or financial institution, ideally with front-office exposure in an international environment.

  • Strong command of FX and interest rate risk management, liquidity planning, and corporate funding.

  • Proficiency with SAP, Bloomberg, and 360T; knowledge of Kyriba and Power BI is an advantage.

  • Excellent communication and relationship management skills, with the ability to work across cultures and time zones.

  • Fluent in English and advanced proficiency in German (required).


What You’ll Gain

  • Impact & Responsibility – Play a visible role in shaping the Group’s treasury strategy and global financial stability.

  • Professional Growth – Build both technical and leadership capabilities in an environment that values development.

  • International Exposure – Collaborate with finance teams and leaders across Europe and beyond.

  • Dynamic Culture – Flat hierarchies, short decision lines, and a supportive, collaborative team.

  • Attractive Package – €85,000 – €100,000 (incl. holiday allowance, excl. annual bonus), hybrid working, 30 vacation days, and a strong pension scheme.

Interested? Please Apply!

Robert Walters Netherlands is acting as an Employment Agency in relation to this vacancy.

Contract Type: Perm

Specialism: Treasury

Focus: Capital Management

Industry: Financial Services

Salary: 10k cash bonus

Workplace Type: Hybrid

Experience Level: Mid Management

Language: English - Bilingual

Second Language: German - Professional working

Location: Den Bosch

Job Reference: V8PPVD-8AE61302

Date posted: 10 October 2025

Consultant: Paul-Joffré Esterhuizen

Phone number: +31 20 644 46 55

pj.esterhuizen@robertwalters.com

Paul-Joffré Esterhuizen

Save job

Share