8 resultaten voor Credit Corporate Risk Manager in Brussels Brussels
Treasury & Risk Manager<p>Robert Half and a trusted name in the food industry are joining forces for the search of a <strong>Treasury & Risk Manager</strong>. </p><p>With a workforce of appr. 1,400 employees and operations spanning Belgium and the Netherlands, the company is gearing up for its next phase of innovation and excellence. Reporting directly to the CFO, you will play a critical part in supporting the management team and driving organizational success.</p><p><strong>Responsibilities:</strong></p><p><span style="text-decoration: underline;">Treasury & Financing Operations</span></p><ul><li>Managing existing financing solutions and implementing new ones in collaboration with stakeholders.</li><li>Ensuring compliance with bank agreements, fulfilling reporting obligations to lenders, and addressing ad-hoc requests promptly.</li><li>Maintaining and leveraging banking relationships to optimize the organization's financial services.</li><li>Implementing and managing a factoring facility and coordinating regular reporting (weekly/monthly) to financial institutions.</li></ul><p><span style="text-decoration: underline;">Liquidity & Cash Flow Management</span></p><ul><li>Supervising cash management processes and ensuring accurate cash reporting.</li><li>Consolidating and presenting weekly cash flow forecasts for all entities to the board and management.</li><li>Collaborating with and challenging controllers in the Netherlands (3) and Belgium (2) to improve cash forecasting accuracy.</li><li>Overseeing and executing the payment run process, proposing and implementing improvements as needed.</li></ul><p><span style="text-decoration: underline;">Insurance Management</span></p><ul><li>Working alongside brokers to review, negotiate, and renew insurance programs involving property, machinery, business interruption, and logistics coverage.</li><li>Managing insurance claims, settlements, and fulfilling information requests from stakeholders.</li><li>Ensuring adequate risk coverage while liaising with internal and external parties for smooth insurance administration.</li></ul><p><strong>Profile:</strong></p><ul><li>A Master's degree in Accounting, Finance, Economics, Business Administration, or a related field.</li><li>At least 3 years of treasury management experience, preferably in a manufacturing or product-based industry.</li><li>Strong expertise in financial markets, financing structures (e.g., factoring, term loans, credit lines), and risk evaluation.</li><li>Proficiency in working under pressure, solving complex problems, and adapting to changing demands with creativity and timeliness.</li><li>Advanced analytical, planning, and communication skills to collaborate effectively across teams and organizational levels.</li><li>Strong hands-on experience in working with Excel, including consolidation and data adjustments.</li><li>Fluency in written and verbal English (Dutch proficiency is a plus).</li></ul><p><strong>Benefits:</strong></p><ul><li><strong>Professional Growth Opportunities:</strong> Be part of a dynamic leadership team, with opportunities to collaborate and contribute to key decisions at a senior level.</li><li><strong>Challenging & Impactful Work</strong>: Take on critical responsibilities that directly influence the company's financial success and stability.</li><li><strong>Supportive Work Environment:</strong> Work with a team of experts where collaboration and continuous learning are encouraged.</li><li><strong>Competitive Compensation:</strong> Attractive salary and benefits package aligned with your expertise and contributions (including company car).</li><li><strong>Flexibility</strong>: Possibility to work 2 days from home every week. Travel to the Netherlands is very limited.</li></ul><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/Um9iZXJ0SGFsZi43NjYxMi4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Finance Manager<p>To strengthen its financial department, one of our clients is looking for a <strong>Finance Operations Manager</strong> who will report directly to the Group CFO. </p><p>This role will be instrumental in supporting the growth and harmonization of the finance function across the organization.</p><p>Our client is a leader in the production and distribution sector, recognized for its commitment to innovation, operational excellence, and sustainable growth.</p><p>The Finance Operations Manager will play a pivotal role in ensuring financial governance, optimizing cash flow, maintaining regulatory compliance, and establishing themselves as a true Finance Business Partner to senior management and various departments.</p><p><strong>Key Responsibilities</strong></p><ul><li>Lead and mentor the finance team to achieve operational excellence.</li><li>Partner with business units to provide actionable financial insights that drive strategic decision-making.</li><li>Serve as a trusted advisor to the CFO and senior leadership team.</li><li>Oversee the timely and accurate completion of monthly, quarterly, and annual financial closings.</li><li>Manage cash flow to ensure operational liquidity and stability.</li><li>Implement effective credit management strategies to mitigate financial risks.</li><li>Develop and monitor financial performance metrics (KPIs) to track success.</li><li>Establish and maintain robust internal control systems to ensure operational integrity.</li><li>Oversee corporate tax compliance and optimize tax planning in line with Belgian and EU regulations.</li><li>Ensure accurate VAT compliance and filings across all applicable jurisdictions.</li></ul><p><strong>Candidate Profile</strong></p><ul><li>Master's degree in Accounting, Finance, or Business Administration.</li><li>A minimum of 8 to 10 years of experience in finance and administrative roles, ideally in multinational and high-growth environments.</li><li>Strong knowledge of Belgian GAAP/IFRS.</li><li>Exceptional leadership, communication, and analytical skills.</li><li>Fluency in English is required; proficiency in French or German is highly advantageous.</li></ul><p>Our client offers you an exciting opportunity within a dynamic company, a friendly and supportive work environment, and an attractive compensation package!</p><p> </p><p><em>Robert Half SRL et Robert Half Project Sourcing SRL traitent les données des candidats qui sont nécessaires pour mener à bien le processus de candidature. Vous trouverez plus d' informations sur la protection des données, en particulier sur vos droits légaux, à <a href="https://www.roberthalf.com/be/fr/vie-privee">https://www.roberthalf.com/be/fr/vie-privee</a>.</em></p><img src="https://counter.adcourier.com/Um9iZXJ0SGFsZi41OTI4MS4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Director Financial Controlling<p><strong>Robert Half Talent Solutions</strong> is currently looking for a <strong>Director Financial Controlling (m/f/x)</strong> for a permanent position based in <strong>Flemish Brabant</strong>.</p><p>Our client is a fast growing company active in the <strong>retail industry</strong>.</p><p>As<strong> Director Financial Controlling (m/f/x)</strong> you will be <strong>responsible</strong> for:</p><ul><li><strong>Lead the financial controlling function, ensuring the timely preparation, review, analysis and reporting on the financial results of the company</strong>;</li><li>Develop and maintain robust financial control systems to safeguard the integrity of financial data and ensure compliance with Group Accounting Principles and BE/LUX GAAP;</li><li><strong>Collaborate with the Leadership Team</strong> to deliver the Company strategy and act as a valuable stakeholder for your domain of expertise;</li><li>Liaise with the Financial Controlling team at European level on implementing group wide policies and projects for financial accounting;</li><li>Manage and mentor a high-performing team of financial controllers, providing guidance, support, and professional development opportunities;</li><li>Oversee the<strong> preparation of monthly, quarterly, and annual financial statements</strong>, ensuring accuracy and transparency;</li><li>Oversee the preparation of the<strong> monthly, quarterly and annual reporting</strong> towards the workers' council and represent the finance department in these meetings;</li><li>Work closely with the Risk & Control team, the tax team, external auditors and other external parties to ensure compliance and optimize financial controlling practices;</li><li><strong>Drive continuous improvement initiatives</strong> within the financial controlling function, focusing on efficiency and automation;</li><li>Reporting to the VP Financial Control at EU level and the SVP Finance & Strategy Belgium.</li></ul><p>The required <strong>profile</strong> for the <strong>Director Financial Controlling (m/f/x)</strong> position:</p><ul><li>Proven <strong>experience (more than 10 years)</strong> as a Financial Controlling Director or similar senior finance role, with a solid background in Financial audit;</li><li>Strong knowledge of financial accounting, management reporting, and financial analysis;</li><li>In-depth understanding of financial regulations, compliance requirements, and<strong> international financial reporting standards (IFRS)</strong>;</li><li>Excellent leadership and <strong>team management skills</strong>, with the ability to inspire and develop talent;</li><li>Strong communication and presentation skills, capable of interacting with both internal and external stakeholders;</li><li>Fluent in Dutch, French and English.</li></ul><p>Interested in this position of <strong>Director Financial Controlling (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/Um9iZXJ0SGFsZi40NDQzMi4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Accounting & Consolidations Manager<p>Robert Half and a trusted name in the food industry are joining forces for the search of an <strong>Accounting & Consolidation Manager</strong>.</p><p>With a workforce of appr. 1,400 employees and operations spanning Belgium and the Netherlands, the company is gearing up for its next phase of innovation and excellence. To support this growth, we are seeking an ambitious <strong>Accounting & Consolidation Manager</strong> with strong IFRS expertise to lead and develop our accounting team and ensure accurate financial reporting.</p><p><strong>Responsibilities</strong></p><ul><li><strong>Accounting Leadership</strong>: Oversee the entire accounting function, including general ledger, accounts payable/receivable, and financial reporting.</li><li><strong>Compliance</strong>: Ensure adherence to IFRS standards, regulatory requirements, and internal policies.</li><li><strong>Process Improvement</strong>: Develop and implement strategies to enhance P2P (Procure-to-Pay), O2C (Order-to-Cash), and R2R (Record-to-Report) processes.</li><li><strong>Consolidation & Reporting</strong>: Prepare the organization's consolidated financial statements (entailing 12 entities) in line with IFRS standards.</li><li><strong>Stakeholder Collaboration</strong>: Maintain strong relationships with auditors and the Corporate Team, ensuring alignment on IFRS-based accounting policies.</li><li><strong>Financial Insights</strong>: Deliver accurate and timely financial reports with clear analysis to support internal and external decision-making.</li><li><strong>Team Development</strong>: Manage a team of accounting professionals, providing mentorship, delivering training, and conducting performance evaluations.</li><li><strong>Cross-Functional Communication</strong>: Collaborate with controllers and accountants across various domains to deliver structured and qualitative financial reporting.</li></ul><p><strong>Profile</strong></p><ul><li><strong>Education</strong>: Master's degree in Finance or Economics, or a recognized accounting qualification (e.g., ACCA, CPA).</li><li><strong>Experience</strong>: At least 8 years of experience in accounting, with a strong preference for additional experience as an auditor or controller.</li><li><strong>IFRS Expertise</strong>: Strong knowledge of IFRS standards (e.g., IFRS 9, 16) and experience preparing consolidated financial statements.</li><li><strong>Leadership</strong>: Proven track record of managing and leading a team of accounting professionals.</li><li><strong>Technical Skills</strong>: Advanced Excel skills, familiarity with MS Office, and expertise with consolidation software (e.g., Tagetik, Cognos).</li><li><strong>Analytical Skills</strong>: Ability to analyze operational and strategic-level financial data and present insights clearly to management.</li><li><strong>Industries</strong>: Affinity with financial reporting for industrial activities is a plus.</li><li><strong>Personal Traits</strong>:</li><ul><li>Organized, proactive, and solution-oriented.</li><li>Team player with strong leadership capabilities.</li><li>Conscientious, with high integrity and accountability.</li></ul><li><strong>Languages</strong>: Strong communication skills in English, with knowledge of Dutch being an advantage.</li></ul><p><strong>Benefits</strong></p><ul><li><strong>Impactful Leadership Role</strong>: Be a trusted leader in an organization poised for significant growth and strategic transformation.</li><li><strong>Professional Development</strong>: Opportunity to oversee and shape financial operations while working closely with a highly experienced CFO and international stakeholders.</li><li><strong>Collaborative Environment</strong>: Work within a dynamic team culture where innovation and professional growth are valued.</li><li><strong>Competitive Compensation</strong>: Rewarding salary package reflecting expertise and experience.</li><li><strong>Work-Life Balance</strong>: Opportunities for flexibility and balance in a supportive work environment.</li></ul><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/Um9iZXJ0SGFsZi4wMzA1MC4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Senior Finance Officer<p><strong>Robert Half Talent Solutions</strong> is currently looking for a<strong> Senior Finance Officer (m/f/x)</strong> for a permanent position based in Brussels.</p><p>Our client is an <strong>international non-for-profit association</strong> active in the <strong>financial sector</strong>.</p><p>As<strong> Senior Finance Officer (m/f/x)</strong> you will be<strong> responsible</strong> for:</p><ul><li>Design, review and implement adequate financial policies and procedures;</li><li>Prepare, review and monitor budget;</li><li>Collect, analyse and review financial information;</li><li>Monitor, analyse and report cash-flows;</li><li>Produce financial reports related to budgets, account payables, account receivables, expenses etc.;</li><li>Monitor and review the adequacy of operational processes and technical tools related to finance (including invoicing process);</li><li>Support project teams in the preparation of financial planning and monitor their implementation;</li><li>Coordinate all financial audit matters, including the review of the audit plans and the preparation of audit reviews (documentation, collaboration with the audit teams);</li><li>Propose and coordinate the cash investment plan, the due dates, and the investment opportunities with the bank;</li><li>Follow the legislative changes regarding the finance environment, especially those related to tax regime;</li><li>Evaluate, if applicable, the existence of adequate controls to prevent errors and potential fraud;</li><li>Provide advice on the financial implications of business decisions;</li><li>Oversee the chartered accountant.</li></ul><p>The required <strong>profile</strong> for the <strong>Senior Finance Officer (m/f/x)</strong> position:</p><ul><li>University Degree in Accountancy, Finance or Business Administration;</li><li>Proven experience in financial control and budget development;</li><li>Knowledge of reporting and accountancy systems;</li><li>Excellent command of English and another language of the EU (oral and written);</li><li>Excellent analytical skills and eye for details;</li><li>Drafting skills;</li><li>Solution-oriented;</li><li>Organizational skills;</li><li>Sense of confidentiality and professional integrity;</li><li>Ability to work independently;</li><li>Good interpersonal and communications skills.</li></ul><p>Interested in this position of<strong> Senior Finance Officer (m/f/x)</strong> at an international and multicultural 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/Um9iZXJ0SGFsZi42OTM5OC4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Head of Treasury<p><strong>Robert Half Talent Solutions</strong> is currently looking for a <strong>Head of Treasury (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>Your key <strong>responsibilities</strong> include:</p><ul><li>You manage a <strong>portfolio of assets</strong>, which are not only expected to be tactically placed at the best possible terms & conditions but also offer a liquidity profile to the Group to respect its known and evolving financial liabilities;</li><li>You manage all the <strong>incoming and outgoing cash flows</strong> of the General Account at the Group. This may include business related transactions, such as M&A transactions and capital injections; This also covers transactions related to ordinary shares such as share buyback program;</li><li>You ensure a timely debt servicing of any and all financial commitments and equally guard that the coupons from intra group or external loans or other debt like securities are duly collected;</li><li>You organize the<strong> dividend collections</strong> across the European and Asian entities and the dividend collections between the different Group companies as well as the external dividend payments and any potential share buy program;</li><li>You work in close c<strong>ollaboration with (i) Corporate accounting</strong> to ensure that all reported cash flows are identified and documented and (ii) <strong>Group Legal</strong> and Compliance to ensure that any financial transaction / cash flow is executed in full compliance with all international standards and regulations;</li><li>You act as ambassador towards the external banks by engaging into plain and derivative like securities and structures (including various forms of credit lines) from time to time to manage the balance sheet of the group holding. This may entail negotiating both the legal (ISDA's, long form, CSA) and financial conditions with the counterparts;</li><li>Together with the Group Head of Capital Management, you organize the <strong>external debt issuances</strong>; Furthermore, you work closely with the Capital Management team to design, evaluate and execute relevant market transactions relevant under Solvency II;</li><li>You are working in close collaboration with Group Legal, Group Tax, Company Secretary;</li><li>You remain responsible for <strong>daily valuations of various financial instruments</strong> (IRS, FX, …) and arranging accompanying collateral exchanges; constant monitoring of counterparty exposures;</li><li>You are in lead to deliver the cash roll forward overviews at each reporting cycle to be published externally;</li><li>You produce a <strong>weekly Treasury report</strong>, and periodical liquidity evolutions;</li><li>You <strong>coach and develop the Treasury team</strong> and support other colleagues within the wider team. You advise other colleagues on all domains related to treasury & liquidity management.</li></ul><p>The required <strong>profile</strong> for the <strong>Head of Treasury (m/f/x)</strong> position:</p><ul><li>You have a <strong>Master degree</strong> in Economics;</li><li>You have a <strong>minimum of 6 years</strong> of relevant work experience including cash planning, liquidity management, financial products, hedging solutions & managing relations with senior bankers;</li><li>You have worked at a <strong>regulated financial institution</strong> (bank or insurance company) and possess a good understanding of Solvency II;</li><li>You have a good understanding of global economic situation and the functioning of financial markets;</li><li>You are well-informed about current market practices and regulation;</li><li>You have very good analytical and negotiation skills;</li><li>You are a team player and you are able to socialize with different hierarchical levels;</li><li>You are fluent in English.</li></ul><p>Interested in this position of<strong> Head of Treasury (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/Um9iZXJ0SGFsZi4xNjMyNS4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Group Accounting Manager<p>Voor onze klant, een gerenommeerd productiebedrijf te <strong>Wetteren</strong> is <strong>Robert Half</strong> op zoek naar een <strong>Accounting & Tax Manager (m/f/x)</strong>.</p><p>Het bedrijf is een toonaangevende internationale speler met HQ te Wetteren. Met diverse vestigingen in Europa, waaronder België, Nederland, Frankrijk, Duitsland, Polen, Italië en Turkije, hebben ze een sterke marktpositie verworven. </p><p>De focus ligt voornamelijk op nicheproducten. Via hun 'buy- & build'-strategie concentreren ze zich op specifieke niches, die ze vervolgens uitrollen over de rest van Europa. Om hun sterke expansie te ondersteunen, zijn ze op zoek naar een getalenteerde professional om het corporate finance team te versterken, met een sterke focus op accounting.</p><p><strong>Functieomschrijving:</strong></p><p>Als Accounting Manager ben je op groepsniveau verantwoordelijk voor het beheer van alle financiële aspecten van de organisatie. Je speelt een sleutelrol bij het waarborgen van financiële stabiliteit. Je rapporteert rechtstreeks aan de CFO en werkt nauw samen met een team van deskundige interne en externe financiële professionals. Jouw verantwoordelijkheden omvatten:</p><ul><li>Boekhoudkundig beheer:</li><ul><li>Leiden en beheren van het volledige boekhoudproces, inclusief crediteuren, debiteuren, grootboek en financiële rapportage.</li><li>Verzekeren van een tijdige en nauwkeurige maandelijkse afsluiting en opstellen van financiële overzichten en rapporten.</li><li>Optimalisaties en verdere digitalisering.</li></ul><li>Fiscale aspecten: Contacten met specialisten ter zake rond fiscale aangelegenheden.</li><li>Interne controle en compliance:</li><ul><li>Implementeren en handhaven van sterke interne controleprocedures om de financiële integriteit en betrouwbaarheid te waarborgen.</li><li>Samenwerken met interne en externe auditors om te voldoen aan auditvereisten.</li></ul><li>Leiding geven aan het accounting team inclusief coaching, ontwikkeling en prestatiebeheer.</li><li>Deelnemen aan speciale financiële projecten en analyses om bedrijfsdoelstellingen te ondersteunen.</li></ul><p><strong>Profiel:</strong></p><ul><li>Masterdiploma in accounting, financiën of een vergelijkbaar vakgebied;</li><li>Minimaal 7/8 jaar relevante ervaring binnen accounting services of Tax in consulting en/of ervaring als accounting manager in een internationale omgeving. Bij voorkeur ervaring in productiesector;</li><li>Diepgaande kennis van boekhoudstandaarden en Belgische fiscale wetgeving;</li><li>Sterke analytische vaardigheden en het vermogen om financiële gegevens te interpreteren;</li><li>Uitstekende communicatieve vaardigheden en leiderschapskwaliteiten;</li><li>Zeer goede kennis Engels.</li></ul><p><strong>Aanbod:</strong></p><ul><li>Een uitdagende functie binnen een groeiend en dynamisch internationaal bedrijf;</li><li>Een functie op groepsniveau, binnen een HQ, en dus dicht bij de beslissingnemers;</li><li>De mogelijkheid om een belangrijke rol te spelen in de financiële rapportering op groepsniveau en de verdere expansie van de organisatie;</li><li>Een competitief salaris en aantrekkelijke secundaire arbeidsvoorwaarden zoals wagen, tankkaart, netto-vergoeding, bonus, maaltijdcheques, verzekeringen etc.;</li><li>De kans om je talenten te ontwikkelen en door te groeien binnen het bedrijf.</li></ul><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/Um9iZXJ0SGFsZi4yNjU3MS4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">Finance Business Partner<p><strong>Robert Half</strong> is momenteel op zoek naar een <strong>Finance Business Partner</strong> voor een beursgenoteerd, internationale firma in <strong>Gent</strong>.</p><p>Het bedrijf is een <strong>internationaal transport en logistiekbedrijf</strong>.</p><p><strong>Als Finance Business Partner zal je verantwoordelijk zijn voor de volgende zaken:</strong></p><ul><li>Het ontwikkelen van financiële rapporten en forecasts;</li><li>KPI rapportering naar het Management;</li><li>Identificeren, beoordelen en beperken van risico's om controle en stabiliteit in het financiële landschap te behouden;</li><li>Zorgen voor de nauwkeurigheid en integriteit van analytische gegevens om geïnformeerde besluitvormingsprocessen te ondersteunen;</li><li>Ad-hoc & variantie analyses;</li><li>Actief deelnemen aan business development activiteiten en investment casussen;</li><li>Ontwikkelen van gedetailleerde maandelijkse voorzieningen en coördineren met het accounting team voor een accurate boekhouding;</li><li>Opstellen van periodieke rapporten, uitvoeren van variantie analyses en vaststellen van belangrijke prestatie-indicatoren om besluitvormingsprocessen voor managers te vergemakkelijken.</li></ul><p><strong>De vereiste kwaliteiten als Business Controller zijn:</strong></p><ul><li>Minstens 2 jaar Finance ervaring;</li><li>Je spreekt vloeiend Nederlands in combinatie met Engels;</li><li>Je kan goed om met Excel.</li></ul><p><strong>Aanbod:</strong></p><ul><li>Een fulltime job met flexibele uren en de mogelijkheid tot thuiswerk.</li><li>Marktconform brutoloon/competitief salarispakket aangevuld met tal van extralegale voordelen zoals een bedrijfswagen.</li></ul><p>Ben je geïnteresseerd in deze functie? Solliciteer vandaag nog!</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/Um9iZXJ0SGFsZi44NTYyNi4xMDg5NUByaGlldXJvcGUuYXBsaXRyYWsuY29t.gif">