Make real impact in a fast-growing international trading environment
Become a part of a culture that rewards initiative and ownership
About Our ClientThe client is an international commodity trading company that operates in both physical and financial markets, handling large volumes of futures, options, and global trade flows. With around 100 employees across 13 locations and a dynamic, youthful culture, they combine fast‑paced commercial decision‑making with a highly professional finance and risk environment.
Job Description- Treasury & Financial Control: Manage and reconcile F&O trading positions, handle bank postings and derivative settlements, and support month‑end closing and audit activities.
- Working Capital Optimization: Contribute to improving and professionalizing working‑capital processes, including cash management and trade finance.
- Reporting & Business Partnering: Ensure accurate financial reporting, improve reporting flows, and translate financial insights into clear, actionable information for trading teams and management.
- Automation & Business Intelligence: Build and maintain Power BI dashboards, and automate financial processes using tools such as Python, RPA or similar technologies.
- Compliance & External Reporting: Handle required filings such as VAT, CBS and banking reports to ensure compliance and accurate external communication.
The successful candidate is a proactive finance professional with at least two years of experience, capable of navigating both treasury control and financial reporting in a fast‑paced, commercial environment. They combine strong analytical and communication skills with a hands‑on mindset, are comfortable working with data and automation tools such as Python and Power BI, and can translate financial insights into clear advice for stakeholders across the organization. They thrive in an international, dynamic setting, work accurately under time pressure, and bring the curiosity and initiative needed to improve processes, enhance reporting, and strengthen working‑capital management. A background in finance, accounting, or business (BSc/MSc) and fluency in English are essential, while a collaborative attitude and the ability to build relationships across departments complete the profile.
What's on Offer- A challenging role in an international, and fast‑growing trading company.
- A modern and inspiring new office environment.
- 28 vacation days, increasing to 30 over the next three years.
- Full pension contribution covered entirely by the company.
- Fresh lunch prepared on-site three times per week.
- Travel allowance.
- Plenty of opportunities for continuous learning and professional development.
- The chance to work closely with trading, finance, and management teams and have a direct impact on processes and reporting.
