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Treasury Specialist

JobBusters Aktiebolag

Sammanfattning

We are seeking a Treasury Specialist for an interim assignment in Gothenburg, focusing on financial risk management, liquidity, cash forecasting, and insurance. This role involves strategic and hands-on responsibilities, reporting directly to the CFO and collaborating with local and global finance teams. The position offers the chance to manage financial risks and provide treasury expertise across the organization.
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Arbetstid

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Det här erbjuder vi

Secure employment with a collective bargaining agreement and insurance coverage.Wellness allowance and employee discounts via Benifex.Flex pension and access to Lifeplan pension advisory service.Additional compensation during parental leave.Occupational health services.Long-term assignments with a dedicated Consultant Manager for support.Opportunities to build experience, expand your network, and grow your career.

Göteborg

Ansök senast: 2027-02-14
Publicerad: 2026-08-18

Beskrivning

Your New Role

We are looking for a Treasury Specialist for an exciting interim assignment to our client in Gothenburg!

In this role, you will take a central position in managing treasury activities, with a particular focus on financial risk management, liquidity, cash forecasting and insurance. The position combines strategic responsibility with hands-on execution and offers the opportunity to work closely with both local and global finance organizations.

You will report directly to the CFO and work closely with the Group Treasury organization, acting as a key local treasury contact.

As Treasury Specialist, you will be responsible for ensuring effective management of the company's financial risks and liquidity while providing treasury expertise to the wider organization.

Your key responsibilities will include:

Managing, monitoring and mitigating FX, commodity price and interest rate risks.

Coordinating and executing hedging activities in line with established Group policies.

Taking ownership of liquidity management and cash flow forecasting, including short- and long-term forecasts.

Monitoring liquidity and ensuring sufficient funding to support business operations.

Managing relationships with banks and financial institutions, including financing and liquidity-related matters.

Taking overall responsibility for the company's insurance programmes, including renewals, claims and coordination with external advisors.

Working closely with Group Treasury on global initiatives, projects and process improvements.

Providing treasury expertise and support to Accounting, Controlling, FP&A and other business functions.

Acting as Travel Manager, overseeing the internal travel booking system and related processes.

Company Presentation

Our client is an international, technology-driven industrial company specialising in the development and production of advanced powertrain solutions for the global automotive market. With cutting-edge engineering and state-of-the-art manufacturing facilities across two continents, they are pushing the boundaries of sustainable mobility and shaping the future of transportation. Joining this organisation means becoming part of a collaborative, forward-thinking environment where technical excellence, innovation, and long-term responsibility guide every step.

Good to Know

Scope of employment: Full-time, 100% Type of contract: Fixed-term employment as a consultant via JobBusters. Start date: As soon as possible End date: 2026-03-07, with the possibility of extension In your application: Please ensure that your CV clearly demonstrates how you meet the qualifications required by the client.

To succeed in this role, you will need:

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

Several years of experience within Treasury, Corporate Finance, Banking or Financial Risk Management.

Strong experience in FX, commodity and interest rate risk management.

Solid experience in liquidity management and cash flow forecasting.

Practical experience with hedging instruments and strategies.

Experience of working with banks and financial institutions, including financing and liquidity solutions.

Excellent analytical skills and strong proficiency in Microsoft Excel.

Meritorious: Experience with Treasury Management Systems or ERP systems.

Meritorious: Knowledge of Bloomberg.

What we Offer

Secure employment with a collective bargaining agreement, insurance coverage and occupational pension

Wellness allowance and employee discounts and offers via Benifex (e.g., health, leisure, transport and healthcare)

Flex pension and access to the Lifeplan pension advisory service

Additional compensation during parental leave

Occupational health services

Long-term assignments and a dedicated Consultant Manager for personal support

Opportunities to build valuable experience, expand your network and grow your future career

We look forward to receiving your application

We review applications on an ongoing basis. As recruitment processes in the consulting industry can move quickly, the position may be filled before the advertised deadline - so we encourage you to apply as soon as possible.

You do not need to submit a cover letter. Instead, please respond to the screening questions included in the application process.

Ansök till tjänsten

Treasury Specialist

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

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