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Treasury Manager Capital and Funding

Klarna

Greater London

On-site

GBP 86,000 - 99,000

Full time

2 days ago
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Job summary

A leading financial services provider in Greater London is seeking a Manager for the Capital & Funding team. This role involves shaping capital funding strategies and owning forecasting processes. The ideal candidate will have 5 years of experience in financial institutions focusing on capital or liquidity management, along with strong analytical skills and advanced proficiency in Excel and Python. This full-time position offers a competitive salary between £86,312 and £98,395, along with opportunities for performance-based rewards.

Qualifications

  • 5 years experience in a regulated financial institution with exposure to capital or liquidity management.
  • Hands‑on expertise in developing, executing, and improving forecasting or stress testing models.
  • Strong analytical skills with the ability to handle complex data and distill insights.

Responsibilities

  • Own the forecasting process and models across monthly reporting cycles.
  • Translate complex modeling into clear actionable insights for senior management.
  • Lead the stress testing that supports capital and liquidity assessment.

Skills

Compliance Management
Administrative Functions
Oversight
Budget Preparation
Facilities Management
Daily Operations
Account Management
Financial Statements

Tools

Excel
Python
Job description

As a Manager in the Capital & Funding team within Klarnas Treasury business unit you will play a pivotal role in shaping Klarnas capital funding and liquidity strategy. You will own the forecasting process and models across monthly reporting cycles and the long-term business plan oversee ongoing monitoring of the capital and liquidity position and manage key month-end book close addition you will lead the stress testing that supports Klarnas Internal Capital and Liquidity Adequacy Assessment Process (ICLAAP) and Group Recovery Plan.

In this role you will not only deliver robust analysis but also translate complex modeling into clear actionable insights for senior management and regulators. You will combine analytical rigor with commercial awareness ensuring that funding and capital decisions are directly linked to Klarnas financial and strategic objectives.

Who You Are
  • 5 years experience in a regulated financial institution with exposure to capital or liquidity management. Experience in both is a plus.
  • Hands‑on expertise in developing executing and improving forecasting or stress testing models.
  • Advanced Excel skills; Python or similar programming experience is a strong plus.
  • Strong analytical skills with the ability to handle complex data and distill insights.
  • Commercial mindset with understanding of funding sources and P&L impacts.
  • Clear communicator able to influence senior stakeholders.
  • Familiarity with capital and liquidity regulatory requirements (e.g. ICLAAP Recovery Plan CRR / CRD).
  • Strong problem solving ability and attention to detail.
  • Ability to adapt quickly and thrive in a rapidly changing environment.

Closing

Klarnas Compensation model

To ensure fairness and maintain global market competitiveness each role in a specific location has a set base salary. During the recruitment process we will assess your skills and experience to determine which role is the best fit for you.

Additionally you may qualify for our Contribution‑Based Reward (CBR) program which recognizes and rewards significant contributions to our success.

Please include a CV in English.

Key Skills
  • Compliance Management
  • Administrative Functions
  • Oversight
  • Administrative Activities
  • Administrative Tasks
  • Budget Preparation
  • Facilities Management
  • Daily Operations
  • Account Management
  • General Ledger Accounts
  • Personnel Files
  • Administrative Management
  • Financial Statements
  • Administrative Operations
  • Annual Budget

Employment Type: Full Time

Experience : years

Vacancy: 1

Yearly Salary: 86,312 - 98,395

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