Treasury Manager

SWIFT

Brussels, Belgium

About the role

Swift’s finance department is seeking a Treasury Manager to strengthen the treasury team at its Belgian headquarters. Reporting directly to the Group Treasurer, this role plays a key part in running the company's global treasury function. You will collaborate with colleagues in Belgium, Kuala Lumpur, and Beijing, who oversee critical treasury functions for the entire Swift group, including global cash management, foreign exchange exposure management, payment and collection processing, compliance, and more.

What to expect

This is what you will be doing in this exciting role:

  • Support strategic treasury initiatives – Assist the Group Treasurer in managing banking relationships and preparing materials for treasury committee meetings.
  • Deliver insightful reporting – Provide in-depth management reports on cash flow, investments, foreign exchange results, and other key treasury metrics.
  • Enable data-driven decision making – Develop smart dashboards to track and benchmark bank performance.
  • Monitor markets and risks – Stay ahead of financial market trends and use your expertise to enhance hedging strategies and optimize the financial portfolio.
  • Drive treasury technology & automation – Own the treasury technology roadmap, focusing on system integration and automation to improve efficiency.
  • Lead projects to a successful outcome – Take the lead on dynamic and high-impact treasury projects that contribute to the company’s financial success.

What will make you successful

We are looking for a dynamic and skilled professional who checks the following boxes:

  • Experienced financial expert – 8-10 years of experience across various financial teams. Background in treasury, accounting, or audit is a strong advantage.
  • Strong collaborator – A true team player who brings people together, fosters synergies, and thrives in a global, multicultural environment.
  • Clear & effective communicator – Excellent English skills with the ability to convey messages crisp and clear in a confident manner.
  • Sharp business acumen – Strong business awareness and a polished approach when engaging with bankers and senior executives.
  • Skilled in complex, multinational operations – Comfortable navigating complex international settings with ease.
  • Problem-solver & high performer – Delivering high-quality, accurate work with a solutions-driven mindset and eye for detail.
  • Analytical & data-driven – Proven expertise in financial modeling, dashboarding, and reporting tools such as Power BI.
  • Tech-savvy innovator – Staying ahead of the curve on AI and emerging financial technologies.
  • Passionate about financial markets – A keen interest in market trends and a willingness to pursue treasury certification.

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