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0to9 AB (publ) is seeking a Cash Management Analyst to join our Treasury team in Stockholm. You will manage bank accounts, execute payments, monitor daily liquidity and support cash flow forecasting to keep our operations running smoothly.
You will work closely with accounting and act as the operational point of contact with partner banks, while contributing to improvements in cash management processes and automation.
We are seeking a Cash Management Analyst to join our Treasury team. In this role, you will be responsible for the day-to-day management of the company's bank accounts, ensuring payments are executed accurately and on time, and that sufficient balances are maintained across all accounts. You will work closely with accounting colleagues and act as an operational point of contact towards our partner banks. The role reports to the Head of Group Treasury and is an opportunity to develop within a growing treasury function.