Bram Van Santen, Cfa Email and Phone Number
As a seasoned Treasury Manager, I am dedicated to delivering innovative solutions that drive strategic direction across Capital Markets, Corporate Finance, and Financial Risk Management. My treasury experience spans leading strategic initiatives in Cash & Liquidiy Management and Financial Risk Management at AkzoNobel and the Dutch State Treasury Agency, securing € billions of funding and generating € millions of cost reductions. From implementing advanced hedging strategies, to advising C-suite decision-making, to ensuring rigorous compliance and enhancing stakeholder relationships, I thrive in roles where I can foster a continuous improvement culture that delivers sustainable growth in a dynamic, fast-paced environment. I get excited about opportunities where I can lead transformative initiatives that shape strategic direction and foster collaboration across teams to deliver impactful outcomes in Treasury Management, Financial Risk Management, Capital Markets and Corporate Finance.
Akzonobel
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Financial Risk Management SpecialistAkzonobel Feb 2022 - PresentAmsterdam, Noord Holland, Nl• Optimizing FX Risk Management: Developing and implementing an advanced VaR portfolio hedging strategy, realizing € seven-figure savings in annual hedging costs.• Centralizing FX Hedging: Insulating 80+ group entities from FX risk and optimizing FX exposure mix through strategic centralized hedging, including managing hedging on behalf in restricted countries, reducing FX exposures by € nine-figure magnitude.• Managing Large-Scale Global Treasury Operations: Executing € billions (gross) in annual cash & liquidity management activities across 45+ currencies, utilizing instruments such as FX forwards, swaps, bonds, bank loans, and commercial paper while managing bank relationships.• Optimizing Corporate Finance: Enhancing governance of the company’s corporate finance processes across valuation and debt funding, driving increased accuracy and value creation. -
Money & Capital Markets DealerMinisterie Van Financiën Jan 2021 - Jan 2022Den Haag, Nl• Led auctions of Dutch government bonds, managing an average of €2 billion per auction, ensuring smooth end-to-end execution, and maintaining strong relationships with primary dealers.• Optimized cash management and interest rate hedging by executing € 100+ billion in transactions annually, utilizing instruments such as commercial paper, repos, and swaps.• Pioneered the development of critical auction software solutions, leading the successful transition to a new software vendor and implementing a temporary bridge-solution that secured €5 billion in annual funding. -
Portfolio Manager Investment StrategyAegon Asset Management Jan 2020 - Jan 2021The Hague, Nl• Engineered and implemented multi-asset and commodity investment strategies, trading instruments such as futures, options, FX forwards, and total return swaps.• Developed tactical asset allocation models, integrating macroeconomic analysis to optimize portfolio performance.• Led monthly investment committee meetings, presenting strategies and insights to stakeholders and guiding the decision-making processes. -
Client Portfolio ManagerAegon Asset Management Apr 2017 - Jan 2020The Hague, Nl• Streamlined FX hedging and asset allocation processes, enhancing operational efficiency through innovative methodologies.• Designed and implemented automated processes, including a portfolio management model for a € 2 billion eurozone sovereign bond fund.• Educated and empowered team members on portfolio management best practices, fostering a culture of continuous improvement. -
Financial Services ConsultantEiffel Sep 2016 - Apr 2017Arnhem, Gelderland, NlHad several a.i. roles in the area of Finance & Control -
Financial Analyst (A.I.)Syntrus Achmea Real Estate & Finance Dec 2016 - Mar 2017Amsterdam, NlAnalysed financial statements of real estate investment portfolios and wrote memos for auditor’s approval -
Tax Controller (A.I.)Aegon Nov 2016 - Dec 2016The Hague, South Holland, NlDeveloped and prepared tax and accounting models -
Internal Controller (A.I.)Akzonobel Sep 2016 - Nov 2016Amsterdam, Noord Holland, NlDefined action plan to mitigate deficiencies in risk and control framework -
Working Student - Product Controller Fixed IncomeRabobank Mar 2014 - Jul 2016Utrecht, Utrecht, NlExecuted end-of-day valuation of fixed income books -
Working Student - Compensation And Benefits AnalystKorn Ferry Hay Group May 2014 - Aug 2015Los Angeles, Ca, UsProcessed and analysed compensation and benefits data
Bram Van Santen, Cfa Skills
Bram Van Santen, Cfa Education Details
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Erasmus School Of EconomicsFinancial Economics -
Utrecht UniversityEconomics -
The Chinese University Of Hong KongEconomics -
Christiaan Huygens College EindhovenVoorbereidend Wetenschappelijk Onderwijs
Frequently Asked Questions about Bram Van Santen, Cfa
What company does Bram Van Santen, Cfa work for?
Bram Van Santen, Cfa works for Akzonobel
What is Bram Van Santen, Cfa's role at the current company?
Bram Van Santen, Cfa's current role is Treasury Manager | FX & Liquidity Management | Financial Markets | Driving Strategic Risk Management & Capital Efficiency.
What schools did Bram Van Santen, Cfa attend?
Bram Van Santen, Cfa attended Erasmus School Of Economics, Utrecht University, The Chinese University Of Hong Kong, Christiaan Huygens College Eindhoven.
What skills is Bram Van Santen, Cfa known for?
Bram Van Santen, Cfa has skills like Analysis, Data Analysis.
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