4 resultaten voor Treasury Director in Brussels, Brussels-Capital Region
Head of Corporate Accounting
- Saint-Josse-ten-Noode,
- remote
- Permanent
-
0 - 0 EUR / Yearly
- <p><strong>Robert Half Talent Solutions</strong> is currently looking for a <strong>Head of Corporate Accounting (m/f/x)</strong> for a permanent position based in <strong>Brussels</strong>.</p><p>Our client is a fast growing company active in the <strong>insurance sector</strong>.</p><p>As <strong>Head of Corporate Accounting </strong><strong>(m/f/x) </strong>you will be <strong>responsible</strong> for:</p><p><strong>Financial Accounting & Closing</strong></p><ul><li>Ensure the operational processes (expense notes, accounts payable process, cost reporting, treasury back-office, …) are optimized;</li><li>Lead the monthly, quarterly, and annual closing processes;</li><li>Ensure timely and qualitative financial reporting for the various companies, both for local accounting (BGAAP) and for group purposes (IFRS);</li><li>Oversee reconciliations, provisions, accruals, and journal entries;</li><li>Ensure timely and qualitative management reporting on the actuals, forecasts and budgets (you will manage the forecast and budget process of the holding companies);</li></ul><p><strong>Regulatory & Compliance</strong></p><ul><li>Ensure compliance with accounting standards, tax regulations, and internal policies;</li><li>Prepare statutory accounts and coordinate with external auditors;</li><li>Support regulatory reporting teams (e.g., NBB, ECB, FSMA in Belgium);</li><li>Ensure adequacy of internal controls;</li><li>Provide support in BGAAP and IFRS accounting policies;</li><li>Provide support in various projects;</li></ul><p><strong>Internal Controls & Audit</strong></p><ul><li>Strengthen the internal control framework;</li><li>Coordinate internal and external audits;</li><li>Identify process weaknesses and implement corrective actions;</li></ul><p><strong>Team Leadership & Development</strong></p><ul><li>Manage a team of 5 people and develop accounting teams (general ledger, AP/AR, fixed assets, etc.);</li><li>Foster a culture of accuracy, accountability, and continuous improvement;</li><li>Ensure proper workload distribution and team performance;</li></ul><p><strong>Process Improvement & Automation</strong></p><ul><li>Drive digitalization and automation of accounting processes;</li><li>Improve efficiency through system enhancements (ERP, consolidation tools);</li><li>Standardize procedures and documentation;</li></ul><p><strong>Business partnering</strong></p><ul><li>Collaborate closely with Consolidation, Treasury and Investment teams, Tax and HR;</li><li>Provide response to ad-hoc questions from senior management, external audit or regulators;</li><li>Support management with financial insights and technical accounting advice.</li></ul><p> </p><p>The <strong>required profile</strong> for the <strong>Head of Corporate Accounting (m/f/x)</strong> position:</p><ul><li>You have a bachelor or master's degree in Finance or Business administration;</li><li>You have at least 7 years relevant working experience (experience in one of the big four audit firms is a plus);</li><li>You have experience in managing a small team;</li><li>You have a good knowledge of Accounting both under Belgian GAAP and IFRS, supplemented with specialized knowledge in the following areas: insurance accounting (under IFRS17), hedge accounting and impairment analysis (IFRS9);</li><li>Experience with ERP systems (Oracle Netsuite, SAP, Onestream) is a plus. You have strong analytical, organizational and interpersonal skills;</li><li>You are proactive, take initiative and show willingness to learn;</li><li>You are a team player and able to work independently;</li><li>You are fluent in English and in French/Dutch.</li></ul><p>The <strong>offer</strong>:</p><ul><li>The possibility of (maximum 50%) home working in agreement with your line manager;</li><li>A dynamic, multicultural working environment;</li><li>An interesting and extensive salary package (including meal vouchers, eco vouchers, hospitalization, disability and group insurance, additional child benefit, mobile allowance and intervention in the internet reimbursement, ...);</li><li>The possibility to optimize part of your salary package through a flexible income plan;</li><li>A corporate culture where you are encouraged to share your views and opinions;</li><li>A flat organizational structure with close collaboration and communication with management and cross departments;</li><li>A company car with charging card;</li><li>An extensive range of learning & development opportunities through our online learning platform.</li></ul><p>Interested in this position of<strong> Head of Corporate Accounting (m/f/x)</strong> at a young and dynamic company? Apply today.</p><p> </p><p><em>Robert Half BV and Robert Half Project Sourcing BV process the data from applicants that is required to carry out the application process. You can find more information on data protection, in particular on your rights, at <a href="https://www.roberthalf.com/be/en/privacy">https://www.roberthalf.com/be/en/privacy</a>.</em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi45NDcwMC4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">
- 2026-09-22T15:00:26Z
Treasury Administrator
- Antwerpen, Antwerpen
- remote
- Uitzendopdracht met optie vast
-
0 - 0 EUR / Yearly
- <p><strong>Treasury Administrator (m/v/x), regio Hoboken - 80%</strong></p><p>De organisatie is gevestigd in Hoboken en actief op internationaal niveau. Ze zijn gespecialiseerd in industriële materialen en beschikken over een sterk uitgebouwd intern SSC, waardoor je zal samenwerken met een uitgebreid finance- en accountingteam in een internationale context.</p><p><strong>Jouw taken en verantwoordelijkheden</strong></p><p>Als Treasury Administrator sta je dagelijks in voor een vlotte en nauwkeurige uitvoering van onze treasury-activiteiten met focus op de internationale betalingen:</p><ul><li><strong>Dagelijkse organisatie</strong> en opvolging van internationale <strong>leveranciersbetalingen</strong></li><li>Optimalisatie van leverancierskortingen;</li><li><strong>Dagelijks monitoren</strong> van de rekeningsaldo's;</li><li>Organiseren van maandelijkse <strong>intercompany betalingen;</strong></li><li>Nauwe samenwerking met de Treasury Manager waarbij je bruggen bouwt tussen interne departementen en mee instaat voor de opvolging van leveranciers;</li><li>Actieve bijdrage aan ad hoc projecten, procesverbeteringen en optimalisatie van Bank Account Management (BAM) (openen/sluiten van rekeningen, beheer van handtekeningen, enz.).</li></ul><p><strong>Jouw profiel</strong></p><ul><li>Je beschikt over een <strong>bachelor denkniveau;</strong></li><li>Je hebt bij voorkeur <strong>enkele jaren ervaring</strong> in een gelijkaardige functie;</li><li><strong>IT kennis:</strong> MS office: basis Excel vereist; </li><li>Talenkennis:</li><ul><li><strong>Nederlands</strong>: gesproken en geschreven;</li><li><strong>Engels</strong>: gesproken en geschreven.</li></ul><li>Je werkt <strong>accuraat, gestructureerd en met oog voor detail;</strong></li><li>Je bent <strong>cijfermatig sterk en analytisch ingesteld;</strong></li><li>Je bent energiek, hands-on en <strong>gedreven</strong>;</li><li>Je c<strong>ommuniceert vlot</strong> met interne en externe stakeholders.</li></ul><p><strong>Wat bieden wij jou?</strong></p><ul><li>Een competitief salarispakket, aangevuld met:</li><ul><li><strong>Hospitalisatieverzekering</strong>;</li><li><strong>Groepsverzekering</strong>;</li><li><strong>Maaltijdcheques</strong>;</li><li>Mogelijkheid tot <strong>fietslease</strong>.</li><li><strong>Flexibele</strong> <strong>arbeidsuren</strong>;</li><li>Mogelijkheid tot <strong>thuiswerk </strong>(1 dag per week) en <strong>laptop</strong>;</li><li>80% tewerkstelling.</li></ul><li>Je vormt samen met de Treasury Manager en de Treasury Assistant een hecht team;</li><li>Een job waarvan de inhoud meegroeit, met kansen tot on-the-job ontwikkeling.</li></ul><p>Interesse in deze functie? Solliciteer met vermelding van referentienummer <strong>000510444.</strong></p><p> </p><p><em>Robert Half BV en Robert Half Project Sourcing BV verwerken de gegevens van sollicitanten die nodig zijn om de sollicitatieprocedure uit te voeren. Meer informatie over gegevensbescherming, in het bijzonder over uw rechten, vindt u op <a href="https://www.roberthalf.com/be/nl/privacy">https://www.roberthalf.com/be/nl/privacy</a>. </em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi44NDk1Mi4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">
- 2026-10-05T13:32:24Z
Financial Controlling Manager
- Mechelen, Antwerp
- remote
- Permanent
-
6000 - 6750 EUR / Monthly
- <p><strong>Robert Half</strong> is op zoek naar een <strong>Financial Controlling Manager </strong><strong>(M/V/X) - Regio Mechelen</strong></p><p>Onze klant is een grote Belgische organisatie actief in een maatschappelijk relevante en mensgerichte dienstverlening.</p><p><strong>Volgende taken behoren tot jouw pakket als (M/V/X):</strong></p><ul><li>Je bent verantwoordelijk voor de groepsrapportering.</li><li>Je waarborgt tijdige, correcte en betrouwbare financiële rapportering.</li><li>Je zet interne controleprocessen op en bewaakt de verdere naleving ervan.</li><li>Je bent het centrale aanspreekpunt voor interne en externe audits.</li><li>Je ziet toe op de naleving van accounting policies en rapporteringsrichtlijnen.</li><li>Je neemt de verantwoordelijkheid voor cash forecasting op korte en lange termijn.</li><li>Je volgt treasury, liquiditeiten en working capital nauwgezet op.</li><li>Je verhoogt de betrouwbaarheid van de cash forecasting en analyseert afwijkingen in cashflow.</li><li>Je draagt actief bij aan de bescherming van de EBITDA en de cashpositie van de organisatie.</li><li>Je coördineert budget- en forecastprocessen en challenget assumpties en cijfers op een kritische manier.</li><li>Je voert diepgaande variantie-analyses uit en werkt hierbij nauw samen met Business Controlling.</li><li>Je stuurt het team binnen Financial Controlling aan, samen met de activiteiten rond Treasury.</li><li>Je coacht en ontwikkelt medewerkers en bouwt mee aan een cultuur van nauwkeurigheid, ownership en deadlinegerichtheid.</li></ul><p><strong>Jouw profiel:</strong></p><ul><li>Je behaalde een masterdiploma in Accounting, Finance of een gelijkwaardige richting.</li><li>Je hebt idealiter een achtergrond in Big 4 audit gecombineerd met relevante ervaring in Financial Controlling.</li><li>Je hebt ervaring in een multi-entity omgeving en bent vertrouwd met groepsrapportering, forecasting en financiële governance.</li><li>Je hebt een hands-on aanpak en combineert professionele scepsis met een kritische blik en de durf om te challengen.</li><li>Je werkt zeer nauwkeurig, hanteert hoge kwaliteitsstandaarden en neemt vanzelfsprekend ownership over je verantwoordelijkheden.</li><li>Je bent een sterke communicator en een coachende people manager die samenwerking stimuleert tussen verschillende finance-domeinen.</li><li>Je spreekt professioneel Nederlands, Frans en Engels.</li><li>Je werkt vlot met Excel en andere MS Office-toepassingen, hebt ervaring met ERP-systemen en kennis van Power BI, terwijl IFRS-kennis een plus is.</li><li>Je hebt bij voorkeur bijkomende ervaring met treasury, working capital management, AI-gedreven financiële tools of een omgeving met grote operationele complexiteit.</li></ul><p><strong>Het aanbod:</strong></p><ul><li>Je komt terecht in een vaste functie met strategische impact binnen een grote en professionele organisatie.</li><li>Je neemt een sleutelrol op binnen finance en werkt rechtstreeks samen met de CFO.</li><li>Je krijgt de kans om een belangrijke bijdrage te leveren aan financiële processen, governance en verdere professionalisering.</li><li>Je stuurt een team aan met 2 directe en 4 indirecte rapporteringen.</li><li>Je mag rekenen op een aantrekkelijk brutoloon tussen €6.000 en €6.750 per maand.</li><li>Je ontvangt een bedrijfswagen.</li><li>Je geniet van een bonusregeling en een uitgebreid voordelenpakket.</li><li>Je krijgt op langere termijn mooie doorgroeimogelijkheden binnen de organisatie.</li></ul><p>Ben je geïnteresseerd in deze functie als <strong>Financial Controlling Manager (M/V/X)</strong>? Solliciteer nu!</p><p> </p><p><em>Robert Half BV en Robert Half Project Sourcing BV verwerken de gegevens van sollicitanten die nodig zijn om de sollicitatieprocedure uit te voeren. Meer informatie over gegevensbescherming, in het bijzonder over uw rechten, vindt u op <a href="https://www.roberthalf.com/be/nl/privacy">https://www.roberthalf.com/be/nl/privacy</a>. </em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi43MjkxMC4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">
- 2026-09-29T08:57:16Z
Financial Controller
- Brussels, Brussels
- remote
- Permanent
-
0 - 0 EUR / Yearly
- <p><strong>Robert Half</strong> <strong>Talent Solutions</strong> is currently looking for a <strong>Financial Controller (m/f/x) </strong>for a permanent position based in <strong>Brussels</strong>.</p><p>Our client is a fast growing company active in the <strong>consultancy sector</strong>.</p><p>As <strong>Financial Controller (m/f/x) </strong>you will be <strong>responsible</strong> for:</p><p><strong>Senior Leadership & Capability Building </strong></p><ul><li>Translate business strategy into financial strategy and operating priorities, influencing decisions beyond the finance function. </li><li>Provide senior leadership to the Project Finance Control function in Belgium, setting clear priorities, standards, and expectations. </li><li>Lead, coach, manage and develop managers and senior controllers, building depth of capability across project finance, compliance, reporting, and business partnering. </li><li>Create a strong performance culture focused on accountability, collaboration, commercial discipline, and continuous improvement. </li><li>Act as the senior escalation point for complex financial, commercial, governance, and stakeholder matters. </li></ul><p><strong>Senior Stakeholder Management & Transformation </strong></p><ul><li>Demonstrated experience leading change across multiple teams and functions, liaising with senior internal stakeholders to ensure sound financial management and coordinating with Accounts Payable, Procurement, Treasury and Accounting when required. </li><li>Partner with senior leadership, Account Directors, Project Managers, Finance, Contracts, and Operations to drive financial discipline, accountability, and informed decision-making. </li><li>Influence non-finance stakeholders by translating complex financial matters into clear, practical actions and commercial implications. </li><li>Lead the strengthening of financial governance, audit readiness, internal controls, and compliance across the portfolio. </li><li>Sponsor and drive process improvement, standardisation, automation, and reporting transformation initiatives to improve quality, efficiency, and insight. Translating technology/data opportunities into successful business outcomes. </li></ul><p><strong>Portfolio Financial Leadership & Strategic Analysis </strong></p><ul><li>Own the financial oversight of a complex project portfolio, including forecasting, revenue, margin, WIP, cash flow, and risk exposure. </li><li>Provide strategic financial insight, challenge assumptions, identify risks and opportunities, and recommend corrective actions to protect commercial performance. </li><li>Lead portfolio reviews with Project Managers, Project Directors, Finance, and senior leadership to ensure robust forecasting, accurate revenue recognition, and clear accountability for actions. </li><li>Oversee project re-forecasting and cost-to-complete reviews in line with company policies, ensuring consistency, accuracy, and compliance across the portfolio. </li><li>Present financial performance, commercial risks, key issues, and recommended actions to senior leadership in a clear and decision-focused way. </li></ul><p><strong>Project Setup, Maintenance & Compliance </strong></p><ul><li>Review contracts (including intercompany agreements) and set up projects in the ERP system in accordance with contract terms, SOX regulations and internal controls. </li><li>Maintain project financial data throughout the lifecycle-set‑up, amendments, variations, and project closure-ensuring completeness and compliance. </li><li>Support the maintenance of contract documents, agreements, and variation orders. </li></ul><p><strong>Revenue Recognition & Cost Recognition & Reporting </strong></p><ul><li>Ensure revenue is recognized correctly and consistently across all projects, fully aligned with accounting standards and internal policies. </li><li>Prepare and deliver management reporting packages (MIS), including revenue, cost analysis, margin movements, and detailed commentary. </li><li>Calculate and post monthly subcontractor and freelancer accruals, ensuring completeness and correct cut-off. </li><li>Support month-end close activities including reconciliation and preparation of financial reports. </li></ul><p><strong>Billing, Cash Flow & WIP Management </strong></p><ul><li>Prepare timely and accurate client billing in coordination with Project Managers. </li><li>Monitor aged debts, collaborate with Treasury on collections, and support actions to reduce WIP and overdue balances. </li><li>Contribute to cash flow estimates and forecasting. </li></ul><p><strong>Other Responsibilities </strong></p><ul><li>Perform ad‑hoc duties and analysis as assigned to support business needs. </li></ul><p>The required <strong>profile</strong> for the <strong>Financial Controller (m/f/x) </strong>position:</p><ul><li>MBA, M.Com, CMA, qualified accountant, or equivalent senior finance qualification / experience. </li><li>Minimum 7 years' experience in project finance, controllership, commercial finance, or financial management within a services, consultancy, or project-based environment. </li><li>Proven senior leadership experience, including managing or functionally leading managers, senior controllers, or geographically dispersed finance teams. </li><li>Strong knowledge of project financial governance, revenue recognition, IFRS, US GAAP, ASC606, SOX requirements, and internal control frameworks. </li><li>Demonstrated ability to influence senior stakeholders, challenge constructively, and support strategic and operational decision-making. </li><li>Advanced financial modelling, reporting, and analytical skills, with the ability to turn complex data into clear insight and action. </li><li>Strong ERP and reporting systems experience; Maconomy, Power BI, and advanced Excel experience strongly preferred. </li><li>Experience leading process improvement, standardisation, automation, or finance transformation initiatives. </li><li>Experience operating in a complex matrix organisation across multiple geographies, preferably Europe and Asia. </li><li>Strong leadership and coaching mindset. </li><li>Excellent stakeholder management and influencing skills. </li><li>Results-driven, proactive, and organized. </li><li>Strong analytical and problem-solving abilities. </li><li>Collaborative, with a focus on team development and continuous improvement. </li></ul><p>Interested in this position of<strong> Financial Controller (m/f/x)</strong> at a young and dynamic company? Apply today.</p><p> </p><p><em>Robert Half BV and Robert Half Project Sourcing BV process the data from applicants that is required to carry out the application process. You can find more information on data protection, in particular on your rights, at <a href="https://www.roberthalf.com/be/en/privacy">https://www.roberthalf.com/be/en/privacy</a>.</em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi43Mzg1Mi4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">
- 2026-09-17T12:20:37Z