About Samyang Foods Europe
Samyang Europe B.V. is the European subsidiary and regional headquarter of Samyang Foods, a globally recognized Korean producer of premium dried noodles and iconic K-food products. As the EU regional headquarter, we bring the bold and authentic flavours of Korea to more than 35 local markets.
About Buldak
Buldak is one of the most loved and fast-growing food brands worldwide, known for its iconic spicy noodles and bold flavors. With rapid growth across Europe, we are now building our regional hub in Amsterdam to bring the brand closer to European consumers and fans.
Role Overview
The Treasury Specialist will provide vital operational support with a strong focus on treasury management and cash flow operations. This role involves managing essential day-to-day funds, preparing and monitoring cash flow (C/F) forecasts, ensuring timely payment executions, and actively driving treasury activities. Key focus includes managing foreign exchange (FX) exposure, optimizing time deposit/cash investments, and executing global treasury management projects in collaboration with Headquarters (HQ).
Key Responsibilities
Treasury & Cash Management
- Cash Flow Forecasting & Monitoring: Prepare, update, and closely monitor short-term and long-term cash flow (C/F) forecasts to ensure optimal liquidity, manage cash positioning, and support financial decision-making.
- Foreign Exchange Management: Monitor currency markets, manage foreign exchange (FX) exposure, and implement strategies to mitigate currency risks.
- Deposit & Cash Investment Management: Optimize cash flow management and proactively manage time deposits and secure financial instruments to maximize interest income and financial returns from surplus funds.
- HQ Collaboration: Act as the primary liaison with Global Headquarters to plan, coordinate, and execute various treasury management projects and system enhancements.
Payment & Financial Operations
- Payment Execution: Manage and execute corporate payments, ensuring accuracy and timeliness of fund transfers.
- Cash Reconciliation: Reconcile bank accounts and daily cash balances to ensure accuracy of fund movements.
- Month-End Support: Assist in the monthly closing process specifically related to treasury, bank reconciliations, and cash flow documentation.
- Cross-Functional Collaboration: Collaborate with internal departments to resolve payment-related issues or fund discrepancies.
- Compliance & Audit: Maintain proper documentation and support for audits and internal controls regarding cash and treasury management.
- Ad-hoc Projects: Participate in process improvement initiatives and ad-hoc finance or system projects.
Qualifications and Skills
- Education: Bachelor's degree in Business Administration, Finance, Economics, or a related field.
- Experience: At least 5 years of relevant work experience, with a strong focus on treasury, cash flow forecasting & monitoring, and payment execution.
- System (SAP) Experience: Hands-on experience with SAP ERP system (specifically Treasury or FI modules) is highly preferred.
- Software skills: Advanced proficiency in Microsoft Office Suite, especially Excel (for complex C/F modelling, data analysis, and financial functions) and PowerPoint (for creating professional financial reports and presentations for management/HQ).
- Industry Knowledge: Experience in FMCG, Goods Trading, or related dynamic industries is preferred.
- Treasury Acumen: Proven understanding of cash flow modelling, foreign exchange markets, liquidity management, and bank deposit/financial products.
- Attention to Detail: Strong organizational and analytical skills with a high attention to detail in handling funds and financial projections.
- Communication: Good communication skills, both written and verbal, with the ability to effectively collaborate with global teams and HQ.
- Language: Professional proficiency in English (written & verbal).
- Team Player: Ability to work collaboratively in a fast-paced environment
What We Offer
- A unique opportunity to shape the long-term growth strategy of one of the world's fastest-growing international food companies.
- A highly visible executive role with direct exposure to European and Global leadership.
- An international working environment with significant strategic impact across multiple European markets.
- Opportunities to lead high-profile business development, innovation and corporate growth initiatives.
- Competitive compensation package, with a salary range between €3,000 and €4,500 gross per month depending on experience and educational background.
Join Us!
Joining Samyang Foods Europe means contributing to a brand known for its innovation and high-quality standards. If you are an ambitious young professional ready to take on this exciting challenge, we invite you to apply and become part of a dynamic, multicultural team that is going to build the Samyang brand in the different European markets.