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Veiligheid en risico verantwoordelijke

SYNERGIE WAASLANDHAVEN INTERIM in KALLO
time Online sinds 17 april 2024 - Vaste jobs
Verantwoordelijkheden Security & Risk Officer:Risico:Ontwikkelen van de strategie voor risicobeheer op het gebied van cyberbeveiliging van een organisatieAssistentie verlenen aan het asset management team om de inventarisatie goed, onderhoudbaar en bruikbaar te krijgen voor risicobeheerIdentificeren en beoordelen van cyberbeveiligingsgerelateerde bedreigingen en kwetsbaarheden van ons ICT systemenIdentificeren van het bedreigingslandschap, inclusief het profiel van aanvallers en inschatting van het aanvalspotentieelCyberbeveiligingsrisico's beoordelen en de meest geschikte risicobehandelingsopties voorstellen, waaronder beveiligingscontroles, risicobeperking en vermijding die het beste aansluiten bij de strategie van de organisatie.Ontwikkelen, onderhouden, rapporteren en communiceren van de volledige risicomanagementcyclusDe effectiviteit van cyberbeveiligingscontroles en risiconiveaus bewakenBewustwording:Pleiten voor risicobeheerpraktijken met management/bedrijfseigenaren.Leiding geven aan de ontwikkeling/levering van cyberbeveiligingscurricula en onderwijsmateriaal voor opleiding en bewustmaking op basis van inhoud, methode, hulpmiddelen en de behoeften van de cursisten.Leiding geven aan de ontwikkeling/levering van bewustmakingsactiviteiten op het gebied van cyberbeveiliging en gegevensbescherming.Algemeen:Bijdragen aan de ontwikkeling van de cyberbeveiligingsstrategie, het beleid en de procedures van de organisatieAssisteren bij het ontwerpen, uitvoeren, auditen en testen om de naleving van cyberbeveiliging en privacy te waarborgenBedrijfsprofiel:Als Security & Risk Officer voor Katoen Natie, een wereldwijde leider in logistiek, ben je verantwoordelijk voor het continu beheren (identificeren, analyseren, beoordelen, inschatten, beperken) van de cybersecurity gerelateerde risico's.Dit omvat de cybersecurity risico's gaande van ICT infrastructuren, systemen en diensten waar jij risicoanalyse, beoordeling en behandeling van zal opstellen en plannen.

Treasury Director

STEPSTONE in NINOVE
time Online sinds 4 april 2024 - Vaste jobs

As our organization has grown in both scale and complexity over the last few years, we are currently strengthening and developing the Treasury Function.We would like to bring on board an enthusiastic and mature professional for the role of Group Director Treasury, reporting to the CFO of the group.

Your function
  • Manage in an international context and across all business units the group`s treasury function and ensure proper cash, liquid assets, collateral & short-term funding in the most efficient way.
  • To this purpose manage day to day relationships with banks and other fund providers in order to manage external financial debt and make optimal use of different sources of funds (bonds, bank loans, factoring, leasing, …) within the existing financing framework.
  • From time to time you will support the CFO in the refinancing negotiations of the group so that the ambitious growth plans, both organic (CAPEX - 200 m.EUR/year) and through acquisitions can be realized.
  • Advise on optimal capital structure and on funding options for all subsidiaries (interco versus third party funding/EUR versus local currency funding).
  • Develop and implement risk management policies related to FX exposure and interest rate risks and coordinate the reporting regarding risk exposures.
  • Coordinate cash flow forecasting on short and longer term for all subsidiaries and the group to avoid excessive cash balances and to minimize cost of debt.
  • Together with the shared finance service center and local accounting departments, optimize day-to-day treasury operations across the group entities, including cash disbursements, transfers, liquidity management, FX transactions.
  • Manage the interest payment schedules maturities and work closely with the accounting department to ensure proper recognition in the group financial reporting.
  • Follow the financial markets and assess the impact for LLBG.
  • Continuously monitor trends, new developments and best practices in the Treasury domain and implement/adopt if beneficial.
Your profile
  • Master`s degree in Finance.
  • At least 5 - 7 years of professional experience of which majority in either a treasury department of a multinational company (preferably front office experience) or in a banking environment.
  • Experience in financial risk management and hedging techniques.
  • Experience in optimizing treasury processes.
  • Good understanding of accounting principles (BE GAAP and IFRS), ideally familiar with hedge accounting.
  • Strong personality able to advocate his/her opinion but always open to listen and integrate new and constructive ideas from colleagues.
  • Capable of taking decisions independently and good judgement on when to escalate to top management.
  • Strong analytical skills with the ability to understand complex matters.
  • Mature and well-structured presentation skills towards senior leaders and Executive Committee.
  • Stress resistant and willing to put in the extra effort to meet deadlines.
  • English is essential, Dutch highly appreciated.
Our offer
  • You will join a growing Belgian family business active in the European bakery sector.
  • Every day, more than 5000 enthusiastic colleagues produce and sell high-quality bakery products to consumers, supermarkets a.

Treasury Director

STEPSTONE in NINOVE
time Online sinds 4 april 2024 - Vaste jobs

As our organization has grown in both scale and complexity over the last few years, we are currently strengthening and developing the Treasury Function.We would like to bring on board an enthusiastic and mature professional for the role of Group Director Treasury, reporting to the CFO of the group.

Your function
  • Manage in an international context and across all business units the group`s treasury function and ensure proper cash, liquid assets, collateral & short-term funding in the most efficient way.
  • To this purpose manage day to day relationships with banks and other fund providers in order to manage external financial debt and make optimal use of different sources of funds (bonds, bank loans, factoring, leasing, …) within the existing financing framework.
  • From time to time you will support the CFO in the refinancing negotiations of the group so that the ambitious growth plans, both organic (CAPEX - 200 m.EUR/year) and through acquisitions can be realized.
  • Advise on optimal capital structure and on funding options for all subsidiaries (interco versus third party funding/EUR versus local currency funding).
  • Develop and implement risk management policies related to FX exposure and interest rate risks and coordinate the reporting regarding risk exposures.
  • Coordinate cash flow forecasting on short and longer term for all subsidiaries and the group to avoid excessive cash balances and to minimize cost of debt.
  • Together with the shared finance service center and local accounting departments, optimize day-to-day treasury operations across the group entities, including cash disbursements, transfers, liquidity management, FX transactions.
  • Manage the interest payment schedules maturities and work closely with the accounting department to ensure proper recognition in the group financial reporting.
  • Follow the financial markets and assess the impact for LLBG.
  • Continuously monitor trends, new developments and best practices in the Treasury domain and implement/adopt if beneficial.
Your profile
  • Master`s degree in Finance.
  • At least 5 - 7 years of professional experience of which majority in either a treasury department of a multinational company (preferably front office experience) or in a banking environment.
  • Experience in financial risk management and hedging techniques.
  • Experience in optimizing treasury processes.
  • Good understanding of accounting principles (BE GAAP and IFRS), ideally familiar with hedge accounting.
  • Strong personality able to advocate his/her opinion but always open to listen and integrate new and constructive ideas from colleagues.
  • Capable of taking decisions independently and good judgement on when to escalate to top management.
  • Strong analytical skills with the ability to understand complex matters.
  • Mature and well-structured presentation skills towards senior leaders and Executive Committee.
  • Stress resistant and willing to put in the extra effort to meet deadlines.
  • English is essential, Dutch highly appreciated.
Our offer
  • You will join a growing Belgian family business active in the European bakery sector.
  • Every day, more than 5000 enthusiastic colleagues produce and sell high-quality bakery products to consumers, supermarkets a.