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Treasury Manager (Mid Office)
Amsterdam, NL on-site full time mid Apr 15, 2026
Skills
About this role
About Nebius:
Nebius is leading a new era in cloud infrastructure for the global AI economy. We are building a full-stack AI cloud platform that supports developers and enterprises from data and model training through to production deployment, without the cost and complexity of building large in-house AI/ML infrastructure.
Built by engineers, for engineers. From large-scale GPU orchestration to inference optimization, we own the hard problems across compute, storage, networking and applied AI.
Listed on Nasdaq (NBIS) and headquartered in Amsterdam, we have a global footprint with R&D hubs across Europe, the UK, North America and Israel. Our team of 1,500+ includes hundreds of engineers with deep expertise across hardware, software and AI R&D.
The role
Treasury Manager (Mid Office) responsible for the operational execution, control, and management of treasury activities within Nebius Group. This role focuses on payments, FX execution, liquidity management, cash flow forecasting, and structured cash flow oversight (including SPV waterfalls), while ensuring strong controls, SOX compliance, and high-quality reporting.
Your responsibilities will include:
Treasury Operations & Execution
Execute daily treasury activities, including payments, intercompany funding, and cash positioning
Manage and process FX transactions (spot, forwards, swaps) in line with approved strategies
Oversee liquidity movements across bank accounts and entities
Ensure timely and accurate settlement of treasury transactions
Payments, Cash Management & Cash Pooling
Manage global payment processes, ensuring accuracy, control, and compliance
Monitor bank balances and optimize cash positioning and funding requirements
Manage and optimize cash pooling structures (physical and/or notional)
Support bank account management, including opening, closing, and maintenance
Ensure strong controls over payment approvals and execution
Cash Flow Forecasting & Liquidity Planning
Develop and maintain short- and medium-term cash flow forecasts
Partner with FP&A and business units to improve forecast accuracy and visibility
Monitor forecast vs. actuals and analyze variances
Support liquidity planning and funding decisions
SPV & Structured Cash Flow Management
Manage and monitor SPV cash flows and waterfall structures
Execute payments in line with priority of payments (waterfalls)
Track covenant-related cash movements and ensure compliance with financing agreements
Coordinate with legal, accounting, and external stakeholders on SPV-related activities
Controls, SOX & Audit
Maintain and enforce robust operational controls across treasury processes
Ensure compliance with SOX requirements, internal policies, and banking regulations
Perform and review treasury reconciliations (cash, FX, intercompany)
Maintain documentation of controls, procedures, and workflows
Support internal and external audits, including preparation of audit materials and remediation of findings
Drive continuous improvement of the control environment
Treasury Reporting & Analytics
Prepare daily and periodic treasury reports, including cash positions, liquidity, FX activity, and forecasts
Provide insights on cash movements, liquidity, and operational performance
Support FP&A and Accounting with treasury-related data and analysis
Systems & Process Improvement
Oversee data integrity and controls within Kyriba and related systems
Enhance automation and reporting capabilities across treasury operations
Partner with IT and Treasury teams on system implementations and upgrades
Stakeholder Management
Act as key liaison between treasury, accounting, FP&A, audit, and banking partners
Provide guidance and training to treasury team members on operations and controls
Support treasury projects and initiatives
We expect you to have:
Bachelor’s or Master’s degree in Finance, Economics, or related field
5–8+ years of experience in treasury operations, cash management, or payments
Strong understanding of FX products and settlement processes
Experience with cash flow forecasting and liquidity management
Familiarity with cash pooling structures and SPV environments is a strong advantage
Experience in a SOX-controlled or public company environment
Hands-on experience with treasury systems (Kyriba preferred)
Skills & Competencies
Strong execution and operational mindset with high attention to detail
Control-oriented with strong focus on compliance and audit readiness
Ability to manage high transaction volumes in a fast-paced environment
Strong analytical skills, particularly in cash and liquidity management
Excellent communication and stakeholder management skills
Structured, detail-oriented, and process-driven approach
Benefits & Perks:
Competitive compensation
Career growth and learning opportunities
Flexibility and work-life balance
Collaborative and innovative culture
Opportunity to work on impactful AI projects
International environment and talented teams
What's it like to work at Nebius:
Fast moving - Bold thinking - Constant growth - Meaningful impact - Trust and real ownership - Opportunity to shape the future of AI
Equal Opportunity Statement:
Nebius is an equal opportunity employer. We are committed to fostering an inclusive and diverse workplace and to providing equal employment opportunities in all aspects of employment. We do not discriminate on the basis of race, color, religion, sex (including pregnancy), national origin, ancestry, age, disability, genetic information, marital status, veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by applicable law.
Applicants must be authorized to work in the country in which they apply and will be required to provide proof of employment eligibility as a condition of hire.
If you need accommodations during the application process, please let us know.
Offices: Amsterdam, Netherlands (Amsterdam);