Naval Treasury Controller – Global Cash & Risk

Saab Kockums AB

Linköpings kommun

On-site

SEK 550,000 - 750,000

Full time

14 days+
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Job summary

Saab Kockums AB in Linköping invites you to join our Treasury team as Treasury Controller for the Business Area Naval. You will work in a dynamic, international environment with opportunities to take responsibility and develop your skills.

In this role you will manage currency risk, identify and optimize trade finance solutions, oversee cash management and bank structures, ensure accurate insurance data, and prepare treasury reports for month-end while ensuring compliance with Saab Treasury

Qualifications

  • Action oriented Treasury Controller with strong communication skills and a willingness to cooperate with others.
  • Integrity, analytical and pedagogical skills, and the ability to understand and explain the impact of treasury related matters.
  • Business oriented with basic knowledge of project management.
  • Preferably a graduate from a Business School or University with several years of experience in a similar assignment.

Responsibilities

  • Currency risk – identify and manage currency exposure and flows via Group Treasury.
  • Trade Finance – identify and manage need for trade finance products and solutions.
  • Cash management – responsible for the bank account structure within the cash pools, manage funding and deposits and cash flow forecasting for the BA.
  • Insurance – update information and values for insurance policies.
  • Reporting – treasury related reports and accounting for month‑end closing.
  • Construct routines for the BA in order to be compliant with Saab Treasury Policy and Directives.

Skills

Strong communication skills
Willingness to cooperate
Integrity
Analytical skills
Pedagogical skills
Business orientation

Education

Graduate from a Business School or University

Job description

Saab Kockums AB in Linköping invites you to join our Treasury team as Treasury Controller for the Business Area Naval. You will work in a dynamic, international environment with opportunities to take responsibility and develop your skills.

In this role you will manage currency risk, identify and optimize trade finance solutions, oversee cash management and bank structures, ensure accurate insurance data, and prepare treasury reports for month-end while ensuring compliance with Saab Treasury

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