Group Treasury Controller: Shape Cash Flow & Systems
Gazella AB
Stockholms kommun
On-site
SEK 600,000 - 800,000
Full time
14 days+
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Job summary
Gazella AB is seeking a Group Treasury Controller to lead the Treasury function within their international operations. The successful candidate will have full responsibility for liquidity management, cash flow forecasting, and improving Treasury operations, ensuring the organization operates efficiently. This role demands strong analytical skills and a proactive approach to contribute to the company's growth. Candidates should possess relevant education and 3–5 years of experience in Treasury, with fluency in both Swedish and English being essential.
Qualifications
3–5 years of experience in Treasury or Cash Management.
Solid understanding of cash flow, financing, and banking structures.
Interest in systems and automation; process automation experience is a plus.
Responsibilities
Overall responsibility for the Group’s liquidity and cash position.
Development and management of cash pool structures.
Preparation and analysis of cash flow forecasts.
Skills
Liquidity management
Cash flow optimization
Treasury Management System experience
Fluent in Swedish
Fluent in English
Analytical skills
Education
Post-secondary education in Finance or Accounting
Job description
Gazella AB is seeking a Group Treasury Controller to lead the Treasury function within their international operations. The successful candidate will have full responsibility for liquidity management, cash flow forecasting, and improving Treasury operations, ensuring the organization operates efficiently. This role demands strong analytical skills and a proactive approach to contribute to the company's growth. Candidates should possess relevant education and 3–5 years of experience in Treasury, with fluency in both Swedish and English being essential.