DescriptionDeadline Date: Wednesday 8 April 2026
Requirement: Finance - Treasury Expert
Location: Brussels BE
Full Time On-Site: Yes
Time On-Site: 100%
Total Scope of the request (hours): 450
Required Start Date: 18 May 2026
End Contract Date: 31 December 2026
Required Security Clearance: NATO SECRET
Duties & Role:
- Payments Processing: Process all approved payments for the organization including undertaking defined internal control procedures maintaining comprehensive documentation and securing all required approvals to ensure accuracy compliance and audit readiness.
- Payroll and Currency Transfers: Process payroll payments and execute currency transfers across the organization coordinating with HR/finance teams to ensure timely accurate disbursements while adhering to regulatory and internal requirements for multi-currency and cross-border transactions.
- Cash and Liquidity Management: Monitor daily cash positions and ensure adequate liquidity to meet operational needs. Support short-term cash forecasts. Manage intercompany transactions.
- Risk Management: Identify and assess counterparty risks. Investigate options to mitigate these risks in line with NATO Financial Rules and Regulations and NCIA policy and directives. Advice Head of Treasury on the potential actions and reporting.
- Treasury Systems and Technology: Support the implementation and utilization of treasury management systems (TMS) Kyriba for automation of payments reconciliations and reporting. Contribute to process improvements through digital tools and data analytics.
- Compliance and Reporting: Ensure adherence to regulatory requirements NATO Financial Rules and Regulations NCIA policies directives and accounting standards (e.g. IPSAS). Prepare accurate financial reports for senior management.
- Reconciliation and Accounting: Reconcile bank statements and maintain detailed accurate accounting records to enable effective control monitoring and reporting of all bank accounts and transactions. Perform monthly reconciliations of treasury and fiscal accounts identifying and resolving discrepancies promptly using automated tools where possible.
- Internal Controls Implementation: Implement and monitor necessary internal controls as outlined in the Treasury Internal Control Framework conducting periodic reviews to strengthen risk mitigation and operational integrity.
- Process Documentation: Maintain comprehensive and up-to-date process documentation for all treasury activities including standard operating procedures (SOPs) workflows and training materials to support knowledge transfer and audit readiness.
RequirementsSkill Knowledge & Experience:
- The candidate must have a currently active NATO SECRET security clearance
- Higher vocational training in a relevant discipline (such as Business Administration Public Administration Treasury Finance or Management Accounting) with 2 years post-related experience; Or a secondary educational qualification with 4 years post-related experience
- 2 or 4 years of minimum relevant experience depending on the level of education. Experience with developing and maintaining financial data using Microsoft Office tools in particularly Excel.
- Experience with Enterprise Resource Planning (ERP) Systems Treasury Management Systems (preferably Kyriba) Banking Systems/Tools
- Proficiency in financial software and tools including Excel ERP systems (e.g. SAP Oracle) and Treasury Management Systems (e.g. Kyriba desirably including implementation configuration or optimization for cash forecasting payments and reconciliations).
DescriptionDeadline Date: Wednesday 8 April 2026Requirement: Finance - Treasury ExpertLocation: Brussels BEFull Time On-Site: Yes Time On-Site: 100%Total Scope of the request (hours): 450Required Start Date: 18 May 2026End Contract Date: 31 December 2026 Required Security Clearance: NATO SECRETDutie...
DescriptionDeadline Date: Wednesday 8 April 2026
Requirement: Finance - Treasury Expert
Location: Brussels BE
Full Time On-Site: Yes
Time On-Site: 100%
Total Scope of the request (hours): 450
Required Start Date: 18 May 2026
End Contract Date: 31 December 2026
Required Security Clearance: NATO SECRET
Duties & Role:
- Payments Processing: Process all approved payments for the organization including undertaking defined internal control procedures maintaining comprehensive documentation and securing all required approvals to ensure accuracy compliance and audit readiness.
- Payroll and Currency Transfers: Process payroll payments and execute currency transfers across the organization coordinating with HR/finance teams to ensure timely accurate disbursements while adhering to regulatory and internal requirements for multi-currency and cross-border transactions.
- Cash and Liquidity Management: Monitor daily cash positions and ensure adequate liquidity to meet operational needs. Support short-term cash forecasts. Manage intercompany transactions.
- Risk Management: Identify and assess counterparty risks. Investigate options to mitigate these risks in line with NATO Financial Rules and Regulations and NCIA policy and directives. Advice Head of Treasury on the potential actions and reporting.
- Treasury Systems and Technology: Support the implementation and utilization of treasury management systems (TMS) Kyriba for automation of payments reconciliations and reporting. Contribute to process improvements through digital tools and data analytics.
- Compliance and Reporting: Ensure adherence to regulatory requirements NATO Financial Rules and Regulations NCIA policies directives and accounting standards (e.g. IPSAS). Prepare accurate financial reports for senior management.
- Reconciliation and Accounting: Reconcile bank statements and maintain detailed accurate accounting records to enable effective control monitoring and reporting of all bank accounts and transactions. Perform monthly reconciliations of treasury and fiscal accounts identifying and resolving discrepancies promptly using automated tools where possible.
- Internal Controls Implementation: Implement and monitor necessary internal controls as outlined in the Treasury Internal Control Framework conducting periodic reviews to strengthen risk mitigation and operational integrity.
- Process Documentation: Maintain comprehensive and up-to-date process documentation for all treasury activities including standard operating procedures (SOPs) workflows and training materials to support knowledge transfer and audit readiness.
RequirementsSkill Knowledge & Experience:
- The candidate must have a currently active NATO SECRET security clearance
- Higher vocational training in a relevant discipline (such as Business Administration Public Administration Treasury Finance or Management Accounting) with 2 years post-related experience; Or a secondary educational qualification with 4 years post-related experience
- 2 or 4 years of minimum relevant experience depending on the level of education. Experience with developing and maintaining financial data using Microsoft Office tools in particularly Excel.
- Experience with Enterprise Resource Planning (ERP) Systems Treasury Management Systems (preferably Kyriba) Banking Systems/Tools
- Proficiency in financial software and tools including Excel ERP systems (e.g. SAP Oracle) and Treasury Management Systems (e.g. Kyriba desirably including implementation configuration or optimization for cash forecasting payments and reconciliations).
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