Cash Manager to Axel Johnson International

Axel Johnson International, Sveavägen 151, Stockholm

Company Axel Johnson International

Employment type Full time

Last date to apply 2024/08/30

The Role:

As a Cash Manager, you will be involved in developing the financial operations of the Axel Johnson International. We offer a diverse role with both administrative and business-related tasks in a successful international group. The person hired will contribute to the development of both the work and the role.

You will be part of the central treasury function where the Group Treasurer (GT) is your immediate supervisor.

The main tasks of the Cash Manager:

• Implementing subsidiaries in the company’s main banks.
• The group grows both organically and through acquisitions, hence, cash management integration of acquired subsidiaries is a recurring task.
• Responsible for Cash Management agreement administration and negotiations.
• Responsible for bank connectivity and Treasury reports.
• Responsible for maintaining good bank relationships.
• Supporting subsidiaries with their banking/financial questions.
• Supporting the GT in the development of the group’s financial operations.

You have:

We envision a person with social skills who is very meticulous and has a humble and flexible attitude towards work. You take responsibility for your work and can collaborate in an open, unpretentious, and changing environment. You will work both with simpler tasks and participate in qualified discussions on complex issues.

Furthermore, you are an operational and self-driven person with an interest in both details and the bigger picture. You are curious and want to be involved in driving the development of our treasury function and want to grow in the role and within treasury. Additionally, you are structured and pedagogical.

We are looking for a university-educated person with 2-5 years of experience in cash management and administrative work within corporate treasury, treasury consulting, and/or banking.

The person must have excellent knowledge of both Swedish and English – both spoken and written – as international contacts with subsidiaries are frequent. The job also requires good knowledge of MS Excel for analysis and reporting.

If you have previous experience working with the implementation of cash management and/or a treasury system for currency, debt, and liquidity management, as well as currency transactions, it is a plus.

This position is based at our headquarters in Stockholm and includes the possibility for a hybrid work setup, allowing you to combine office work with remote work. The office is located at Sveavägen 151 in Stockholm.

Application:

We look forward to receiving your application if you are seeking a challenging and inspiring job in a dynamic and creative environment. Furthermore, you appreciate contributing to the development of the group’s treasury operations together with your colleagues.

Selection and interviews will be conducted continuously. Please send your application as soon as possible, but no later than August 30, 2024 to livijnpeter@gmail.com. For any questions, contact Peter Livijn at livijnpeter@gmail.com.

Axel Johnson International has a value-driven, entrepreneurial culture and with our long-term approach and financially stable platform as our base, we invest in talent across the group to enable our people and companies to develop, grow and thrive. The employees are our most valuable resource, and we are committed to an inclusive working environment and diverse work force that values and empowers employees of all backgrounds and experiences.
Our core values are evident in everything we do and are an important guide for our companies and employees: Being far-sighted – Making things happen – Being good to work with.

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