Global Treasury Manager: Cash, Risk & Financing

Elopak ASA

Oslo

On-site

NOK 1,000,000 - 1,300,000

Full time

14 days+
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Job summary

Elopak ASA is seeking a Treasury Manager in Oslo, Norway, to lead centralized cash management, forecasting, risk management and hedge execution on a global scale. The role reports to the Head of Treasury & Investor Relations and involves collaboration with Finance leadership and external financial institutions.

You will oversee funding activities, debt financing, treasury reporting, and strategic decision support in a lean, international environment.

Qualifications

  • Bachelor's or Master's degree in finance, economics, business administration, or a related field.
  • 5+ years of experience in corporate treasury, banking, financial risk management, capital markets, or similar.
  • Strong understanding of cash management, forecasting, funding, and risk management (FX, interest rate, commodity).
  • Fluent in English with excellent communication skills.
  • Legal authorization to work in Norway.
  • Close collaboration with senior leadership.
  • Broad exposure to financial, operational, and strategic initiatives in an international environment.

Responsibilities

  • Cash Management & Forecasting: Manage centralized cash positions, short-term financing needs and cash forecasting globally.
  • Risk Management & Hedge Execution: Monitor FX, interest rate and commodity exposures; propose and execute hedges per approved strategy.
  • Funding & Financing Support: Support debt and funding activities, refinancing, covenant reporting and banking relations.
  • Treasury Reporting & Decision Support: Prepare front- and mid-office treasury reporting for internal and external stakeholders.
  • Governance & Compliance: Monitor compliance with treasury policies and ensure strong controls and segregation of duties.
  • Trade Finance & Counterparty Risk: Monitor counterparty exposures and support guarantees, letters of credit and trade finance.
  • Stakeholder Collaboration & Continuous Improvement: Partner with Finance, Tax, Legal and regions to improve treasury processes and data quality.

Skills

Cash management
Forecasting
Risk management
Hedging
English fluency
Collaboration
International exposure
Numerical skills

Education

Bachelor's or Master's degree in finance, economics, business administration, or related field
5+ years of corporate treasury/related experience

Tools

Treasury management systems
Market data/reporting tools

Job description

Elopak ASA is seeking a Treasury Manager in Oslo, Norway, to lead centralized cash management, forecasting, risk management and hedge execution on a global scale. The role reports to the Head of Treasury & Investor Relations and involves collaboration with Finance leadership and external financial institutions.

You will oversee funding activities, debt financing, treasury reporting, and strategic decision support in a lean, international environment.

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