Amsterdam
2 days ago

Controller- Treasury Accounting
Booking.com
Amsterdam
2 days ago
Controller- Treasury Accounting
Booking.com is seeking a Controller - Treasury Accounting in Amsterdam to own and govern the accounting review framework for FX and hedging activities across the group. The role requires solid accounting experience, strong knowledge of US GAAP and/or IFRS, and expertise in financial controls, reconciliations, and stakeholder management.
AI-enabledHybridFull-timeEntry LevelUS GAAPIFRS
Controller- Treasury Accounting
Booking.com is seeking a Controller - Treasury Accounting in Amsterdam to own and govern the accounting review framework for FX and hedging activities across the group. The role requires solid accounting experience, strong knowledge of US GAAP and/or IFRS, and expertise in financial controls, reconciliations, and stakeholder management.
AI-enabledHybridFull-timeEntry LevelUS GAAP
Salary
Not specified
Core Qualifications
Technical (Must-have)
US GAAPIFRSFinancial CloseTreasury AccountingForeign ExchangeHedgingDerivativesBalance Sheet ReconciliationsJournal EntriesFinancial ReportingFinancial ControlsAudit SupportProcess StandardisationAutomationStakeholder Management
Soft Skills
CommunicationAnalytical SkillsAttention to DetailSound JudgementOwnershipAccountabilityConstructive ChallengeDecision MakingContinuous Improvement Mindset
Preferred Qualifications
Technical (Nice-to-have)
Marketing Expense AccountingPerformance MarketingBrand MarketingBlackLineAI-enabled Solutions
Key Responsibilities
- Own and govern the accounting review framework for FX and hedging activities across the Booking.com group.
- Act as the primary reviewer and stakeholder liaison for daily hedge cycles, including review of outputs, investigation of exceptions, and coordination of issue resolution.
- Maintain and continuously improve the accounting logic, decision rules, controls, documentation, and escalation paths supporting treasury and hedging processes.
- Provide accounting ownership for complex hedging programmes across entities, ensuring that activity is appropriately understood, reviewed, documented, and reflected in the financial records.
- Drive project delivery for treasury initiatives, including requirements definition, process and control design, accounting logic validation, stakeholder alignment, testing, implementation, and post-implementation review.
- Review treasury-related journal entries, reconciliations, hedge accounting outputs, and other close deliverables to ensure accuracy, completeness, timeliness, and correct period recognition.
- Maintain oversight of reconciliations and support an adequate approval structure, including continuity of two designated approvers for daily FX exposures and BlackLine reconciliations.
- Provide oversight of COE cash management activities from a Treasury Accounting perspective, including review of key outputs, exceptions, controls, and escalations.
- Partner with Treasury, the COE, Corporate Accounting, FP&A, Finance Systems, Technology, and relevant brand teams to resolve issues and strengthen end-to-end processes.
- Coordinate responses to internal and external audit requests relating to treasury, FX, hedging, reconciliations, and associated controls.
- Maintain clear and current process documentation, including ownership models, control descriptions, review procedures, decision trees, and escalation paths.
- Support ad hoc analysis and projects driven by emerging treasury, accounting, risk, control, or business priorities.
Treasury AccountingControllerFinanceAccountingHedgingFXUS GAAPIFRSSoftware DevelopmentHybrid