
Treasury Consultant
Academic Work Sweden ABSammanfattning
Join a pivotal business integration phase at a Swedish Treasury Hub as a Treasury Consultant, providing essential operational support in a high-stakes financial environment. This full-time, 12-month role is based in central Stockholm, focusing on managing currency exposures and optimizing liquidity. You will engage in hands-on treasury management, ensuring compliance and collaboration with internal teams during this critical transition.Jobbet i korthet
Anställningstyp
tillsvidareanstallning
Arbetstid
heltid
Förmåner
Opportunity to work in a central Stockholm location.Exposure to complex treasury processes during a major business integration.Engagement in a high-stakes financial environment.
Ansök senast: 2026-07-28
Publicerad: 2026-07-14
Beskrivning
Join our client's Swedish Treasury Hub during a pivotal business integration phase. This role offers a unique opportunity to provide critical operational support and ensure continuity in a high-stakes financial environment.
About the role
As a Treasury Consultant, you will provide operational support and act as a vital backup for daily treasury activities. You will work closely with internal stakeholders to manage currency exposures and optimize liquidity during a period of organizational change.
This is a 12-month full-time assignment offering the chance to work in a central Stockholm. You will play a key role in a major business integration, gaining exposure to complex treasury processes.
Work tasks
This role involves hands-on operational treasury management, focusing on FX trading support, liquidity planning, and ensuring compliance with internal financial guidelines during an integration phase.
Manage and monitor foreign exchange (FX) exposures and execute operational hedging activities.
Prepare, maintain, and analyze short- and medium-term liquidity forecasts.
Support cash management operations to optimize liquidity across the organization.
Provide market analysis and recommendations for currency hedging strategies.
Execute and record FX transactions in compliance with established hedging strategies.
Assist in the administration of trade finance products, including Letters of Credit.
Collaborate with finance and accounting teams to ensure alignment with treasury processes.
We are looking for someone that has:
A degree in Finance, Economics, or Business Administration.
Minimum of five years' experience in a corporate treasury or banking environment, with a strong focus on foreign exchange.
Proven experience in currency risk management and liquidity forecasting.
Advanced proficiency in Excel.
Practical experience with Treasury Management Systems (TMS) and market information tools.
Fluent in English, both written and spoken.
Strong understanding of cash management and trade finance products.
It is meritorious if you have
Fluent in Swedish.
Experience working within the commodity industry.
Experience from large-scale international organizations.
To succeed in the role, your personal skills are:
Change oriented
Trustful
Stress tolerant
Orderly
Responsible
Assertive
Our recruitment process
This recruitment process is handled by Academic Work and it is our client's wish that all questions regarding the position is directed to Academic Work.
Our selection process is continuous and the advert may close before the recruitment process is completed if we have moved forward to the next phase. The process includes two tests: one personality test and one cognitive test. The tests are tools to find the right talent for the right position, to enable equality, diversity, and a fair process.
About the role
As a Treasury Consultant, you will provide operational support and act as a vital backup for daily treasury activities. You will work closely with internal stakeholders to manage currency exposures and optimize liquidity during a period of organizational change.
This is a 12-month full-time assignment offering the chance to work in a central Stockholm. You will play a key role in a major business integration, gaining exposure to complex treasury processes.
Work tasks
This role involves hands-on operational treasury management, focusing on FX trading support, liquidity planning, and ensuring compliance with internal financial guidelines during an integration phase.
Manage and monitor foreign exchange (FX) exposures and execute operational hedging activities.
Prepare, maintain, and analyze short- and medium-term liquidity forecasts.
Support cash management operations to optimize liquidity across the organization.
Provide market analysis and recommendations for currency hedging strategies.
Execute and record FX transactions in compliance with established hedging strategies.
Assist in the administration of trade finance products, including Letters of Credit.
Collaborate with finance and accounting teams to ensure alignment with treasury processes.
We are looking for someone that has:
A degree in Finance, Economics, or Business Administration.
Minimum of five years' experience in a corporate treasury or banking environment, with a strong focus on foreign exchange.
Proven experience in currency risk management and liquidity forecasting.
Advanced proficiency in Excel.
Practical experience with Treasury Management Systems (TMS) and market information tools.
Fluent in English, both written and spoken.
Strong understanding of cash management and trade finance products.
It is meritorious if you have
Fluent in Swedish.
Experience working within the commodity industry.
Experience from large-scale international organizations.
To succeed in the role, your personal skills are:
Change oriented
Trustful
Stress tolerant
Orderly
Responsible
Assertive
Our recruitment process
This recruitment process is handled by Academic Work and it is our client's wish that all questions regarding the position is directed to Academic Work.
Our selection process is continuous and the advert may close before the recruitment process is completed if we have moved forward to the next phase. The process includes two tests: one personality test and one cognitive test. The tests are tools to find the right talent for the right position, to enable equality, diversity, and a fair process.
Ansök till tjänsten
Treasury Consultant
OM FÖRETAGET

Academic Work Sweden AB











