Group Treasury Manager Nederman

Group Treasury Manager Nederman

Arbetsbeskrivning

At Nederman, we believe our role is to make life better by creating great products and solutions that protect people, planet and production. With around 2 100 employees, sales offices and distributors in over 50 countries and production in 12 countries on five continents, we´re one of the world's leading companies supplying products and solutions in the environmental technology sector focusing on industrial air filtration. We respect the environment and each other, have the courage to act and a sustainable customer focus. Listed on Nasdaq Stockholm Mid Cap. We are the Clean Air Company.

An opportunity has arisen to join a fast-growing company in the environmental technology sector. As Group Treasury Manager you will be responsible for all elements of treasury for Nederman Group. This is both a strategic and hands on role which would be an ideal move for a person who enjoys a role with broad responsibility and has a genuine interest in finance. You will report to the Group CFO Matthew who is an engaged and experienced leader. The position is based at Nederman’s head office in Helsingborg.

Main responsibilities:

• Global cash management ensuring that sufficient funds are centrally available to meet ongoing operational and capital investment requirements
• On behalf of the group, manage and maintain all banking relationships globally including price and delivery negotiations, project execution and new relationship development
• Manage and secure external financing, including compliance, extensions, refinancing and covenant processes
• Run the in-house bank including internal FX trades, intercompany deposits, netting and intercompany loans. Responsible for pricing, agreements, execution and development
• Responsible for global trade finance portfolio including issuance infrastructure, contract text approval, price negotiations and application process on a group level
• Make sure that the group is always KYC compliant with all external stakeholders
• Financial risk management including executing hedges for cash-flow, balance sheet items and capital structure
• Group optimisation of financial net
• Management reporting and control of the monthly, quarterly and annual development of financial net and operational revaluations
• Responsible for the treasury management system

Who are we looking for?
To thrive and to be successful in this position we think that you have several years of experience in a similar role with exposure to the majority of the responsibilities listed above, potentially someone looking to advance from a more junior position. You have a degree in MSc in Economics and you have a flair for continuous improvements and a “roll-up-your-sleeves attitude”. You are self driven and proactive. You are also service minded and enjoy adding value and make a difference!

Application
This recruitment process is conducted in cooperation with Mpya Finance. If you have any questions regarding the position or the process, please contact Kristina Bennet on 0703-755075, kristina.bennet@mpya.se. Please apply for the position at www.mpyafinance.se.

Sammanfattning

  • Arbetsplats: Mpya Finance
  • 1 plats
  • Tills vidare
  • Heltid
  • Fast månads- vecko- eller timlön
  • Publicerat: 12 februari 2022
  • Ansök senast: 10 mars 2022

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