Treasury Specialist – konsultuppdrag i Göteborg
On-siteGöteborg, Västra Götaland, Sweden
Job Summary
Manage and mitigate currency, commodity, and interest rate risks while coordinating hedging activities according to established policies. Lead liquidity management and develop short- and long-term cash flow forecasts, closely collaborating with the CFO, corporate treasury, and banking partners. Monitor market developments to assess impacts on the company's financial risk profile and oversee insurance programs, renewals, and claims. Contribute to treasury process improvements and support Accounting, Controlling, and FP&A functions. This six-month, full-time (40 hours/week) consulting engagement in Göteborg begins September 7, 2026, with potential extension.
Required Qualifications
- Akademisk examen inom ekonomi, finans eller motsvarande
- Senior erfarenhet inom treasury, corporate finance, bank eller finansiell riskhantering
- Dokumenterad erfarenhet av valuta-, råvarupris- och ränterisker
- Stark kompetens inom likviditetsstyrning och kassaflödesprognoser
- Praktisk erfarenhet av hedgingstrategier och finansiella instrument
- Erfarenhet av bankrelationer och finansieringslösningar
- Mycket goda kunskaper i Excel
- Flytande engelska i tal och skrift
Desired Qualifications
- Erfarenhet av treasury management-system, ERP-system och Bloomberg
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