Fixed Income Trader - Treasury

Klarna

Stockholms kommun

On-site

SEK 541,770 - 812,655

Full time

14 days+
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Job summary

Klarna is seeking an Analytics Manager within the Liquidity & FX Operations team. In this role, you will manage the liquidity portfolio, execute debt transactions, and analyze financial data to inform strategy. The ideal candidate will have 4–10 years of experience in financial markets, strong analytical skills, and a relevant university degree. Proficiency in SQL or Python is an advantage. This position offers a chance to interact with global markets in a dynamic environment.

Qualifications

  • 4–10 years of relevant professional experience in treasury, trading, or financial markets.
  • Experience with fixed income instruments and liquidity management.
  • Ability to translate data into actionable insights.

Responsibilities

  • Manage Klarna’s liquidity portfolio and perform pre‑trade analysis.
  • Execute transactions in debt securities and conduct post‑trade evaluations.
  • Collaborate with cross‑functional stakeholders to support the Treasury organization.

Skills

Financial markets expertise
Analytical skills
Problem-solving
Collaboration

Education

University degree in Economics, Finance, Engineering, Science, or Business

Tools

SQL
Python

Job description

What you will do

As an Analytics Manager within the Liquidity & FX Operations team, part of Klarna’s Treasury domain, you will work at the intersection of financial strategy and operational execution. You will be responsible for managing Klarna’s liquidity portfolio, performing pre‑trade analysis, executing transactions in debt securities, and conducting post‑trade evaluations to inform decision‑making. You will contribute to the management of currency and interest rate risk exposures, helping to design and refine strategies that balance risk and return. In this position, you will collaborate closely with cross‑functional stakeholders and gain exposure to global FX and fixed income markets while supporting the development of a scalable Treasury organization.

Who you are
  • Demonstrated experience in financial markets, particularly fixed income instruments and liquidity management
  • Strong analytical and structured problem‑solving skills with the ability to translate data into actionable insights
  • Ability to communicate clearly and collaborate effectively with diverse stakeholders across functions
  • University degree in a relevant field such as Economics, Finance, Engineering, Science, or Business
  • 4–10 years of relevant professional experience in treasury, trading, or financial markets
  • Comfortable working in a fast‑paced environment with a proactive and solution‑oriented mindset
Awesome to have
  • Understanding of accounting principles and financial reporting
  • Experience working with financial instruments or in a trading environmentProficiency in SQL and/or Python for data analysis, automation, and reporting
  • Familiarity with banking regulations and financial industry guidelines
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