OBS! Ansökningsperioden för denna annonsen har
passerat.
Arbetsbeskrivning
Do you have previous experience in Treasury? Are you interested in working for an exciting company with many growth possibilities? Then this might be the role for you!
About the role
In the role as Treasury Analyst you will be responsible for the short-term cash flow forecasting and bridge this to the long-term cash planning. You will also support in the daily work with managing FX and other financial risks and exposures. Work with cash management bank related issues and contacts with banks are also frequent.
You will also have the opportunity to participate and represent Treasury / Finance in various projects such as working capital efficiency improvements and much more. You will be an important player in a small but very ambitious and devoted team. The role will provide a unique experience to gain insight in many areas of the organization and get valuable hands-on experience within Finance. Contribute to the ongoing work of developing and improving ways of working within Treasury.
This is a consultancy role that stretches until the end of the year.
About you
You like communication, and are a curious person with high integrity, loyalty, systematical and agile thinking. You are self – driven and structured individual who enjoys collaborating with colleagues. You have positive attitude and want to be a part of the journey to build the company, we hope that you´ll join our journey.
To fit for this role, we believe that you have/are:
• Master´s or Bachelor´s degree in economics or similar, with at least of 1-3 years´ work experience within a Treasury or Finance function.
• Overall good understanding of and a profound interest in the financial markets
• Experienced user in Excel is a prerequisite. If you have experience from working in SAP it´s a bonus
• A proactive approach and interest in improving financial processes, especially within Treasury.
• Pragmatic and solution-oriented mind set
• Analytical and problem-solving approach toward business related challenges and assignments
• Showing integrity and have the courage to challenge in a constructive way
• Attention to details and thorough analysis capabilities
• Self-motivated and driven, and action-oriented with high sense of personal accountability
• Curiosity and interest in learning new things
About the client
As a member of our client´s finance team you are part of a transformation journey becoming a stand-alone company and creating excellence. Their main purpose is enabling business, through clear and supporting processes and cross functional collaboration. To proactively provide insightful, action-based analysis and recommendations to help guide the business and implement our strategy.
About the application
We will go through the applications continuously and the job posting may get closed before the last application date so don´t hesitate with sending in your application today!
If you have questions about the position or the recruitment process you are welcome to contact the recruiter Evelina Hjortskog via Evelina.Hjortskog@adecco.se
We look forward to your application!
Treasury Analyst | Treasury | FInance | Automotive | Adecco | Göteborg
Kontaktpersoner på detta företaget
Tove Östberg
Leila Mekidiche
08-598 981 58
Per Östman
0736847137
Lovisa Kvam
0859898002
Sandra Jonsson
08-598 980 22
Annmarie Lund
Linda Josephson
08-598 980 00
Lena Wassen
0736847486
Zandra Briseid
08-59898006
Mary Cairns
0736847147