Financial Controller

OTC Flow

Amsterdam, Netherlands

About the role

As Financial Manager, you will play a critical role in supporting OTC Flow’s continued international growth by working within and contributing to a robust, scalable finance function. You will oversee all accounting, financial reporting, and treasury operations, ensuring financial integrity, strong controls, and insightful performance analysis. This is a key position working closely with the CFO and other senior stakeholders.

We’re looking for a hands-on, proactive professional who can confidently manage daily financial operations while continuously improving systems, controls, and processes. Treasury management is a vital part of this role, and you'll be responsible for safeguarding liquidity, managing cash flow, and optimizing working capital. This role is based in our Amsterdam office, where you’ll work alongside our international team in a collaborative environment.

Key responsibilities

  • Oversee and manage the daily operations of the accounting department, including:
    • Month-end and year-end closing processes
    • Accounts payable and receivable
    • Cash receipts and reconciliations
    • General ledger maintenance
    • Revenue and expenditure variance analysis
  • Ensure a strong, effective month-end and year-end closing routine.
  • Establish and enforce accounting policies, methods, and principles.
  • Ensure that all accounting processes adhere to relevant accounting standards and financial regulations (Dutch GAAP / IFRS).
  • Coordinate and manage the annual audit process.
  • Prepare the annual financial statements and corporate income tax returns.
  • Implement, enhance, and maintain a robust controls framework.
  • Provide accurate and timely financial reporting, enabling senior management and stakeholders (including the supervisory board and shareholders) to gain insights into the company’s financial performance. Reports will include analysis of any deviations from budget or forecasted targets.
  • Assist the CFO with budgeting and financial forecasting.
  • Continuously identify and implement improvements to financial systems and procedures.
  • Contribute to the team’s success by managing, coaching, and developing accounting staff.
  • Oversee and optimize the treasury function, including:
    • Cash flow forecasting and liquidity management
    • Bank relationship management and financing arrangements
    • Management of currency risk and foreign exchange exposure
    • Payment processes and treasury controls

Your Profile

  • Master’s degree in Finance, Accounting, Economics, or related field.
  • 3–5 years of relevant experience in a financial management or senior accounting role.
  • Strong knowledge of Dutch GAAP, IFRS, and local tax regulations.
  • Hands-on experience with treasury management and cash flow forecasting.
  • Proficiency in accounting software (e.g. Exact) and advanced Excel skills.
  • High attention to detail, analytical mindset, and strong organizational skills.
  • Excellent communication skills in English (Dutch is a plus).
  • A proactive, hands-on professional eager to contribute to an established and growing finance team.

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