Treasury Manager - Cash Management
Hybrid · Stockholm, Stockholm, Sweden
Job Summary
Treasury Manager - Cash Management role focusing on optimizing liquidity across Atlas Copco Group. Lead design and implementation of cash management frameworks (cash pooling, in-house banking), manage multi-jurisdictional banking relationships, drive treasury innovation with digitization and AI, implement strong risk controls, and collaborate cross-functionally to influence strategic treasury direction. Roles reports to Treasury Operations Manager and involves hybrid work from Dublin City Centre or Stockholm.
Required Qualifications
- Substantial experience in cash management within corporate treasury or banking environments at an international scale.
- Comprehensive knowledge of treasury operations across Front, Middle, and Back Office functions.
- A strong track record in managing complex banking relationships across multiple countries.
- Proven ability to lead and deliver treasury projects, including system enhancements and process integration.
- Independent working style with accountability for ownership of treasury processes and decision-making.
- Exceptional communication skills, capable of engaging effectively with diverse teams and senior stakeholders.
- Proficiency in English and a relevant academic background in Finance, Accounting, or related disciplines.
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