Strategic Global Treasury & Finance Controller

Gazella AB

Stockholms kommun

On-site

SEK 650,000 - 850,000

Full time

14 days+
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Job summary

Gazella AB is seeking a Group Treasury & Business Controller to join their Stockholm HQ, responsible for managing the Group's liquidity and cash flow. The ideal candidate should have 3–5 years of experience in Treasury or Business Controlling and a strong educational background in Finance or Accounting.

This role offers the opportunity to drive financial processes, provide insights to management, and improve cash management systems while working closely with various stakeholders internationally.

Qualifications

  • Approximately 3–5 years of experience in Treasury, Cash Management, or Business Controlling.
  • Solid understanding of cash flow, financing, and banking structures.
  • Fluency in Swedish and English required.

Responsibilities

  • Overall responsibility for the Group’s liquidity and cash position.
  • Development and management of cash pool structures and internal financing.
  • Preparation, analysis, and quality assurance of cash flow forecasts and reports.

Skills

Analytical skills
Communication
Proactivity

Education

Post-secondary education in Finance, Accounting, or related field

Tools

Treasury Management System

Job description

Gazella AB is seeking a Group Treasury & Business Controller to join their Stockholm HQ, responsible for managing the Group's liquidity and cash flow. The ideal candidate should have 3–5 years of experience in Treasury or Business Controlling and a strong educational background in Finance or Accounting.

This role offers the opportunity to drive financial processes, provide insights to management, and improve cash management systems while working closely with various stakeholders internationally.

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