Job Description
Step into a pivotal Group Treasury Analyst position at Fedrus International NV, a leading international wholesale group active in the wholesale sector. Based in Ghent, this role offers the perfect blend of analytical depth, operational impact, and professional development. The Treasury Analyst will play a key part in managing and optimizing group liquidity, executing FX transactions, and supporting strategic treasury initiatives in collaboration with both internal stakeholders and external financial partners. This opportunity is ideal for someone eager to grow within a dynamic and international financial environment. Your responsibilities as a Group Treasury Analyst :Daily cash management and optimization of group liquidityExecution of FX transactions and management of short-term investmentsPreparation of weekly rolling cash forecasts, including analysis of variances and funding needsManagement of debt, treasury, and intercompany paymentsAct as back-up for treasury-related payments across group entitiesBank account management: opening/closing of accounts, KYC documentation, and monitoring of bank feesMaintenance of banking powers of attorney and related recordsSupport in the hedging of metals and foreign currencies; monitor and further develop hedging programsPreparation and distribution of treasury reportsCollaboration with internal stakeholders, banks, and factoring partnersActive participation in treasury projects and process improvement initiatives About you :You hold a Master's degree in Economics, Business, Finance, or equivalent by experienceYou ideally bring an initial experience in Treasury, Finance, or BankingYou have a strong interest in financial markets, instruments, and treasury systemsYou speak Dutch and EnglishYou are tech-savvy and confident with treasury and reporting toolsYou work accurately, independently, and take initiativeYou communicate clearly and adapt easily in a fast-paced environmentYou remain calm under pressure and show strong analytical thinkingYou have a hands-on attitude, a structured way of working, and a continuous learning mindset The offer :A challenging position within an international groupCollaboration with diverse departments and external partnersReal opportunities for growth and professional development within TreasuryA dynamic work environment in Ghent (Fedrus will move the offices from Puurs to Ghent in April 2026) This is an outstanding opportunity to contribute to the financial strength of a growing international group while developing deep expertise in cash management, FX, and liquidity optimization. Join Fedrus International NV as Group Treasury Analyst and take the next step in a rewarding treasury career. Robert Walters Belgium is acting as an Employment Agency in relation to this vacancy.
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