C. Kersten en Co. N.V. was founded in 1768 and is one of the most diversified companies in Suriname with 12 operating companies divided over 5 divisions.
For the Treasury Department of Kersten Holding we are looking for an experienced and driven:
Senior Treasury Analyst (m/v)
Job description:
The Senior Treasury Analyst is the team leader responsible for the functional management of the Treasury department. In addition, you are the sparring partner of the Treasurer and will support you with the core responsibilities
in the Kerstengroep: Cash Management, Risk Management and Asset and Liability Management. After all, you’re in this one role subject matter expert in the field of economics, finance and risk management, where you are able to be an expert
analyze and report on this.
Tasks:
- Actively contributing to the group’s cash management and an optimal liquidity position.
- Monitoring and analyzing economic, financial and market information to identify possible effects and risks on foreign currency and other markets.
- Actively participate in risk management within the Kerstengroep and thereby develop, present and implement risk policies, management strategies and processes and report on them.
- Acting as a liaison between stakeholders, (external) counterparties and internal business units for the execution of the Central Treasury Policy and Strategy.
- The continuous optimization and development of policy and processes.
- Cross-training as a backup to manage the company’s financial, risk and balance sheet exposure, including collecting, Executing, Mitigating and Aligning Loss and Profit Risks.
- Carrying out expert analyzes within the core responsibilities and reporting accordingly.
- Executing and monitoring various transactions.
- Participate in special projects to support organizational and departmental objectives.
Job requirements:
- WO working and thinking level
- Additional financial post master’s degree, preferred Qualified Treasurer;
- At least 5 years of work experience in a similar position;
- Advanced communication skills in Dutch and English;
- Knowledge of and insight into:
- Treasury management and operations;
- Accounting and International Financial Reporting Standards (IFRS);
- Enterprise Risk Management (ERM);
- Financial Markets: Capital and Money Market;
- Macroeconomics and relevant developments in it;
- Local and international market dynamics and trade in foreign currencies and financial products;
- Various legislations, in particular banking and tax laws, and compliance therewith.
- Competency mix: proactive, consistent, analytical, risk-aware, accurate, customer-oriented and honest
We offer:
- Excellent terms of employment;
- A pleasant working environment;
- Ample development opportunities.
Interested and do you meet the requirements?
Send your application letter with CV to: [email protected]