Finance Management

Mission for Freelance Treasurer Brussels (Financial Service)

For one of our clients, we are actively lookng for a Freelance Treasurer for a renewable mission within financial services in Brussels.

Our client is a leading international insurance company seeking an experienced Freelance Treasurer to support its finance and treasury activities during a strategic transformation period.


This assignment offers the opportunity to work in a dynamic insurance environment where treasury plays a key role in liquidity management, investments, regulatory compliance and capital optimisation.


Working closely with Finance, Accounting, Risk, Investments and senior management, you will ensure the efficient management of cash flows and treasury operations while contributing to ongoing optimisation initiatives.


Location: Brussels (Hybrid)

Contract: Freelance

Duration: 6–12 months (extension possible)

Start: ASAP


Role

As Freelance Treasurer, you will oversee the company's day-to-day treasury activities while supporting strategic finance projects.


You will be responsible for ensuring sufficient liquidity, optimising cash management, monitoring financial risks and maintaining strong relationships with banking partners.


Your role combines operational treasury management with strategic financial analysis in a highly regulated insurance environment.


Treasury Operations

  • Manage the company's daily cash positions across multiple entities and bank accounts.
  • Prepare short- and medium-term cash flow forecasts.
  • Monitor liquidity requirements and funding needs.
  • Execute treasury transactions while ensuring compliance with internal policies.
  • Oversee payment processes and optimise cash positioning.


Banking & Financing

  • Manage relationships with domestic and international banking partners.
  • Negotiate banking conditions and service agreements.
  • Coordinate financing activities when required.
  • Monitor bank guarantees, credit facilities and financial instruments.


Investment & Asset Management

  • Monitor liquidity investments in accordance with treasury policies.
  • Collaborate with investment and ALM teams.
  • Analyse investment performance from a treasury perspective.
  • Ensure compliance with internal investment guidelines.


Risk Management & Regulatory Compliance

  • Monitor financial risks including liquidity, interest rate and counterparty risk.
  • Support Solvency II liquidity and capital management requirements.
  • Ensure treasury activities comply with internal governance and regulatory expectations.
  • Contribute to internal and external audit requests.


Reporting & Projects

  • Prepare treasury dashboards and management reporting.
  • Present liquidity and treasury analyses to Finance leadership.
  • Participate in finance transformation and treasury optimisation projects.
  • Improve treasury processes, controls and reporting automation.
  • Support ERP or Treasury Management System (TMS) improvements where applicable. 


Profile

  • Master's degree in Finance, Economics, Business Administration or a related discipline.
  • Minimum 3 years of treasury experience, ideally within the insurance or financial services sector.
  • Strong understanding of:
  • Cash Management
  • Liquidity Forecasting
  • Treasury Operations
  • Banking Products
  • Financial Markets
  • Investments
  • Capital Management
  • Insurance experience and knowledge of Solvency II are strong assets.
  • Experience with Treasury Management Systems is appreciated.
  • Advanced Excel skills; Power BI is considered an advantage.
  • Strong analytical and communication skills.
  • Able to work autonomously while coordinating multiple stakeholders.
  • Fluent in English; French and/or Dutch are considered strong assets. 


Offer

  • A strategic treasury assignment within a leading insurance organisation.
  • Exposure to senior finance leadership and cross-functional projects.
  • A collaborative and international working environment.
  • Hybrid working model with flexibility.
  • High level of autonomy and decision-making.
  • Opportunity to contribute to treasury transformation initiatives.


Freelance Daily Rate (Belgian Market)

For a freelance treasury assignment within the Belgian insurance sector, the market generally falls within the following ranges:


Treasury Specialist (3–6 years)

  • €500 – €700/day


Senior Treasurer (6–12 years)

  • €700 – €1000/day


Voordelen
  • flexible_working_hoursGlijdende uren
  • remote_possibleTelewerken
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