Treasury Controller
HybridBudapest, Budapest, Hungary
Job Summary
Treasury Controller role in Group Treasury based in the Budapest SSC. You will own and develop core treasury processes from scratch, reporting to the Group Treasurer in Sweden, with interaction across international stakeholders. Responsibilities include cash and liquidity management, cash forecasting, cash pooling and intercompany netting, treasury system (TMS) ownership and development, accurate treasury accounting and month-end activities, FX hedging, risk monitoring, internal controls, and KYC/banking relationships. The position emphasizes building scalable treasury operations for international growth and working independently in a build-from-scratch environment while collaborating with Group Finance.
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