Cash Manager

Booking Booking · Hospitality · Amsterdam, Netherlands · Finance

Booking Holdings is seeking an experienced Cash Manager for its Treasury team in Amsterdam. The role involves executing and improving global cash management operations, including daily transactions, forecasting, reporting, cash centralization, and repatriation. Responsibilities also include supporting treasury transformation initiatives, process redesign, system implementations, and user acceptance testing. The ideal candidate will have 3-4 years of corporate treasury experience, strong analytical and interpersonal skills, and the ability to work in a fast-paced environment.

What you'd actually do

  1. Individual contributor who performs day to day cash management operations in accordance with controls frameworks to include, cash concentration activities, payment initiation and settlements, money market investments and redemptions, account funding, and management reporting;
  2. Monitoring of working capital balances and performing bank account funding to ensure adequate and appropriate cash levels are held in applicable currencies to support operational needs for relevant entities;
  3. Manage day to day In house bank operations, support and coordinate with relevant internal stakeholders, monitoring, resolving issues and performing ad hoc areas of analysis as required, ensuring tasks are performed in accordance with controls frameworks;
  4. Support on the creation of automated short-term cash flow forecast solutions in collaboration with the data analytics and financial systems teams;
  5. Assist in tracking and refining short-term cash flow forecasts by comparing projected figures with actual outcomes and delivering analysis and explanations for significant variances;

Skills

Required

  • Bachelor or Master Degree degree in Finance or an applicable field
  • 3-4 years working experience within large corporate treasury and cash management with specific experience in relation to corporate cash management, liquidity management, Foreign Exchange Management, In house bank, implementing operational process improvements and the development of supporting control frameworks.
  • strong background in finance
  • excellent analytical skills
  • ability to work in a fast paced environment
  • Demonstrated experience in Treasury Cash Management
  • preferably experience of performing a similar role for a large corporate or Financial Institution

Nice to have

  • Designation as a certified Cash Manager or Certified Treasury Professional is a plus