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JobbSafariLediga jobbSenior Treasury Specialist

Senior Treasury Specialist

Avaron AB
4 dagar kvar

Sammanfattning

Join Avaron as a treasury expert in the automotive and powertrain industry, where you will manage financial risks and liquidity in a global environment. This role involves strategic oversight and hands-on execution of treasury processes, collaborating with finance leadership and stakeholders. The position offers permanent employment with a focus on professional development and support from a consultant manager.
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Jobbet i korthet

Anställningstyp

tillsvidareanstallning

Arbetstid

heltid


Det här erbjuder vi

Permanent employment at Avaron ABOccupational pensionWellness allowance of SEK 5,000 per year

Göteborg

Ansök senast: 2026-08-25
Publicerad: 2026-08-18

Beskrivning

About the Company

At Avaron, you get the security of permanent employment combined with the variety of working at different customers. We place specialists across everything from tech, IT and industry to project management and business support - and whatever the assignment, you have a consultant manager who is there for you and your development.

About the Role

You will join an international company in the automotive and powertrain industry where treasury plays a central role in business stability, financial risk control and long-term planning. In this role, you get to combine strategic responsibility with hands-on work across risk, liquidity, banking and insurance, while collaborating closely with finance leadership and a global treasury function.

You will act as a key treasury expert in a complex global environment with exposure to financial markets, cross-functional stakeholders and group-wide initiatives. This is an interesting opportunity if you enjoy owning critical treasury processes and turning financial analysis into practical business decisions.

Job DescriptionYou will manage and mitigate financial risks related to foreign exchange exposure, commodity price exposure and interest rate risk.

You will coordinate and execute hedging activities in line with group policies and established frameworks.

You will monitor market developments and assess how they affect the company's financial position and risk profile.

You will take ownership of liquidity management and cash flow forecasting, including both short- and long-term planning.

You will monitor liquidity needs and help ensure that the business has the funding and cash availability required for ongoing operations.

You will manage relationships with banking partners and coordinate dialogue around financing solutions, liquidity management and banking services.

You will oversee insurance-related matters, including renewals, claims and coordination with internal stakeholders and external advisors.

You will work closely with the global treasury organization and contribute to treasury initiatives, process improvements and effective communication between local and group functions.

You will support finance and business stakeholders with treasury expertise across Accounting, Controlling, FP&A and related functions.

You will also take responsibility for the internal travel booking system and support colleagues in travel-related matters when needed.

RequirementsUniversity degree in Finance, Economics, Business Administration or a related field.

Senior-level experience within Treasury, Corporate Finance, Banking or Financial Risk Management.

Proven experience in financial risk management, including foreign exchange exposure, commodity price exposure and interest rate risk.

Strong experience in liquidity management and cash flow forecasting.

Experience with financial hedging instruments and practical implementation of hedging strategies.

Strong understanding of corporate treasury processes, financial markets and financial risk management.

Good knowledge of liquidity and cash management, including cash flow forecasting.

Good knowledge of financial instruments and products within FX & MM.

Experience managing relationships with banks and financial institutions.

Excellent proficiency in Microsoft Excel and strong ability to analyze financial data and translate findings into action.

Experience working across functions and organizational levels in an international environment.

Professional fluency in English, written and spoken.

Nice to haveExperience with treasury management systems and/or ERP systems.

Experience with Bloomberg.

Experience in insurance coordination and administration.

What We OfferPermanent employment at Avaron AB

Occupational pension

Wellness allowance of SEK 5,000 per year

Application

Selections are made on an ongoing basis - apply as soon as you can.

Ansök till tjänsten

Senior Treasury Specialist

4 dagar kvar
Denna arbetsplats har annonserats på Arbetsförmedlingen-tjänsten den 2026-08-18 och publicerades av Arbetsförmedlingen.

OM FÖRETAGET

Avaron AB

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