Treasury Controller Business Area Naval

Saab Aktiebolag

Linköpings kommun

On-site

SEK 700,000 - 1,000,000

Full time

14 days+
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Job summary

Saab Aktiebolag in Linköping, Sweden, seeks a Treasury Controller to join the Finance team in BA Naval. The role focuses on currency risks, trade finance solutions, and cash management support for sales and projects throughout the life cycle.

The candidate should have strong communication skills, integrity and the ability to collaborate with sales, project managers and Group Treasury. A relevant business degree is expected and security clearance may apply.

Qualifications

  • Graduated from a business school or university with treasury experience.
  • Ability to collaborate with sales, project managers and Group Treasury.
  • Strong analytical and communication skills.
  • Integrity and a business‑oriented mindset.

Responsibilities

  • Identify and manage currency exposure and flows via Group Treasury.
  • Identify and manage need for trade finance products and solutions.
  • Manage bank account structure and cash pools, funding and cash flow forecasting.
  • Maintain insurance data and values for policies.
  • Produce treasury related reports and accounting for month‑end closing.
  • Construct routines to ensure compliance with Saab Treasury Policy and Directives.

Skills

Currency risk management
Trade finance
Cash flow forecasting
Stakeholder communication
Analytical skills

Education

Business School/University degree

Job description

Treasury Controller Business Area Naval

Treasury Controller will be a part of the Finance team at BA Naval and will be one of two Treasury Controllers. The role focuses on treasury matters related to currency risks and trade finance solutions, providing support to the sales organization and project teams throughout the project life cycle.

Key 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: produce treasury related reports and accounting for month‑end closing.
  • Construct routines for the BA to ensure compliance with Saab Treasury Policy and Directives.
Your profile
  • Action‑oriented Treasury Controller with strong communication skills and willingness to cooperate with others.
  • Extensive internal contacts and ability to work closely with sales representatives, project managers and Group Treasury.
  • Integrity, analytical and pedagogical skills to understand and explain the impact of treasury‑related matters.
  • Business‑oriented mindset with basic knowledge of project management.
  • Graduated from a Business School/University with relevant experience in a similar role.

This position requires successful completion of a security vetting based on current regulations around security protection. Additional citizenship obligations may apply for positions requiring security clearance.

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