Treasury Analyst - Cash, FX & Funding

Maersk Tankers

Nordhavn

On-site

DKK 480,000 - 720,000

Full time

14 days+
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Job summary

Maersk Tankers, a global leader in tanker and gas carrier operations, invites applications for a Treasury Analyst based in Denmark. You will report to the Head of Treasury and support daily cash management, FX hedging, and inter-company funding in a dynamic, international environment.

Requirements include 2–3 years in finance or treasury, a relevant degree, strong analytical skills, and fluent English. You will join a small, dedicated team and contribute to financial policy and cash forecasting.

Qualifications

  • 2–3 years of experience in finance or treasury, preferably international.
  • Relevant academic background in finance, economics, or related field.
  • Fluency in English required.
  • Structured and analytical approach with strong relationship skills.

Responsibilities

  • Manage daily cash positions
  • Manage and optimize revolving credit facilities
  • Prepare cash forecasts for multiple entities
  • Execute FX hedging and manage FX exposures
  • Coordinate inter-company funding and dividend flows
  • Maintain bank account structure
  • Lead Know-Your-Customer processes with banking partners
  • Participate in cross-functional projects

Skills

English fluency
Finance knowledge
Treasury operations
Stakeholder communication

Education

Finance or Economics degree

Job description

Maersk Tankers, a global leader in tanker and gas carrier operations, invites applications for a Treasury Analyst based in Denmark. You will report to the Head of Treasury and support daily cash management, FX hedging, and inter-company funding in a dynamic, international environment.

Requirements include 2–3 years in finance or treasury, a relevant degree, strong analytical skills, and fluent English. You will join a small, dedicated team and contribute to financial policy and cash forecasting.

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