Treasury Manager

 

About Pharming Group N.V.
Pharming Group N.V. (EURONEXT Amsterdam: PHARM/Nasdaq: PHAR) is a global biopharmaceutical company dedicated to transforming the lives of patients with rare, debilitating, and life-threatening diseases. Pharming is commercializing and developing an innovative portfolio of protein replacement therapies and precision medicines, including small molecules and biologics. Pharming is headquartered in Leiden, the Netherlands, and has employees around the globe who serve patients in over 30 markets in North America, Europe, the Middle East, Africa, and Asia-Pacific.

Our Culture 
Pharming Group N.V. (EURONEXT Amsterdam: PHARM/Nasdaq: PHAR) is a global biopharmaceutical company dedicated to transforming the lives of patients with rare, debilitating, and life-threatening diseases. Pharming is commercializing and developing an innovative portfolio of protein replacement therapies and precision medicines, including small molecules and biologics. Pharming is headquartered in Leiden, the Netherlands, and has employees around the globe who serve patients in over 30 markets in North America, Europe, the Middle East, Africa, and Asia-Pacific.

thway forward to meet our strategic goals and objectives.

Purpose of the role:

To manage and execute our treasury and cash management operations. This position is responsible for operationalizing the Group’s Treasury policy. The manager will be involved and responsible for cash management, funding execution, currency and interest rate risk management and will execute transactions with financial institutions. 
 

Responsibilities:

  • Ensure sufficient and efficient cash for the Group and its subsidiaries at all times;
  • Manage currency and interest rate risk according to Group policies;
  • Be an internal advisor on currency and interest rate risks, in close cooperation with specialists in the Finance department; 
  • Participate in strategic advice to CFO/CEO on treasury related matters and participate in higher level negotiations with financial institutions and investors;
  • Operational cash management activities (availability, liquidity and stability);
  • Execute transactions with third parties (banks);
  • Be involved in the longer term funding plan of the company;
  • Ensuring that internal controls work effectively, providing supporting evidence on a regular basis;
  • Maintain relationship with banks on operational Treasury matters.

 

Your profile:

  • Minimum 5+ years of working experience in cash or treasury management, in a global corporate environment or a financial institution;
  • University degree in either Business Administration, Tax, Treasury or similar field of expertise. Ideally a Cash Management or Treasury Management qualification from a qualified institute (eg: Registered Treasurer)
  • Effective communicator; collaboration/team work and relationship management should be at the highest level.
  • Fluency in English, ideally also Dutch

 

What you'll get in return
We offer you a permanent position (starting with a one-year contract), with an excellent remuneration scheme, including:

  • A highly competitive salary
  • 8.33% holiday allowance (for NL)
  • A minimum of 30 vacation days
  • An excellent pension plan
  • Commuting allowance


You will also join our Learning & Development program, which can offer a tailor made development plan, based on your personal and professional needs. Learning opportunities are everywhere, in all forms imaginable and we want to create learning memories for all “Pharmers”.

Also important! We truly value a healthy life-work balance with a lot of flexibility.


Apply for the job
Does this sound like you and do you want to join our team? Then we'd love to hear from you!

We’re an equal opportunity employer. All applicants will be considered for employment without attention to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran or disability status.