Amsterdam
2 weeks ago
VP, EU Cash & Liquidity Management Sales - Japanese Corporates logo

VP, EU Cash & Liquidity Management Sales - Japanese Corporates

MUFG

VP, EU Cash & Liquidity Management Sales - Japanese Corporates

MUFG Bank (Europe) N.V. is recruiting a Vice President, EU Cash & Liquidity Management Sales for Japanese Corporates in Amsterdam. The role drives growth of Cash & Liquidity Management business across Europe, managing relationships with EU-based Japanese multinational corporations. Requires at least 6-7 years of experience in Transaction Banking, Cash Management, Treasury Services, or Corporate Banking, with native or business-level Japanese and fluent English.

On-siteFull-timeSeniorCash ManagementLiquidity Management

Salary

Not specified

Work Location

Amsterdam, North Holland, Netherlands, NL

Work Model

On-site; flexible working requests considered; Remote Working Policy (WFH and remote working in another country)

Experience Required

7 years

Employment Type

Full-time

Experience Level

At least 6-7 years of experience

Core Qualifications

Technical (Must-have)
Cash ManagementLiquidity ManagementPayments and CollectionsTreasury OperationsSEPACross-border paymentsSWIFT connectivityHost-to-host connectivityISO 20022APIsDigital treasury solutionsDeposit and short-term investment productsTrade FinanceWorking capital solutionsJapaneseEnglish
Soft Skills
PresentationNegotiationStakeholder managementIntegrityResponsibilityCustomer focusGlobal perspectiveDrive for resultsCollaborationPartnership buildingCommunicationInfluenceInspire othersLead changeContinuous improvementStrategic thinkingTalent management

Preferred Qualifications

Technical (Nice-to-have)
Additional European language(s)

Key Responsibilities

  • Develop and execute a sales strategy for Cash & Liquidity Management solutions targeting Japanese multinational corporations across Europe.
  • Identify new business opportunities and deepen existing client relationships to increase transaction banking revenues.
  • Build and maintain a robust sales pipeline and proactively manage opportunities through to successful implementation.
  • Deliver sustainable growth in deposits, cash management revenues, fee income, and transaction volumes.
  • Act as the primary Transaction Banking specialist for assigned Japanese corporate clients.
  • Understand clients’ treasury, liquidity, working capital, and payment requirements and provide tailored solutions.
  • Conduct client meetings, treasury reviews, and solution workshops across Europe.
  • Develop trusted relationships with treasury teams and key decision makers.
  • Promote the bank’s Cash & Liquidity Management products, including domestic and cross-border payment solutions, collection and receivable solutions, AR reconciliation, liquidity management structures, interest-bearing accounts and short-term investment solutions, trade finance and working capital optimization solutions, electronic banking platforms, API, and host-to-host connectivity, cash forecasting and reporting solutions, strategic account management, and RFI/RFP management.
Transaction BankingCash ManagementLiquidity ManagementSalesJapanese CorporatesFinancial ServicesAmsterdamVice PresidentFull-timeOn-site