You will be the sole Treasury representative in our Budapest SSC, working independently while closely connected to the broader Group Finance organization. The role reports directly to the Group Treasurer based in Sweden, with regular interaction across international stakeholders.
You will play a key role in ensuring strong liquidity control, accurate treasury accounting, and reliable financial insights, while helping scale treasury operations to support the Group’s international growth.
What you’ll do
Cash & Liquidity Management:
- Drive and improve group-wide cash forecasting
- Manage liquidity across cash pools, including sweeps and funding
- Establish and run an intercompany netting process
- Monitor intercompany loans, internal interest, and cash pool balances
- Optimize liquidity allocation to maximize interest income and minimize borrowing costs
Treasury System (TMS)
- Own and develop the Treasury Management System (TMS)
- Manage workflows for cash, FX, loans, and treasury accounting
- Drive continuous automation and process improvements
Financial Accounting & Reporting:
- Ensure accurate accounting of treasury transactions (FX, loans, hedging, cash pooling)
- Perform month-end activities (FX revaluation, accruals, reconciliations)
Risk & Control
- Validate FX trades and monitor compliance with Financial Policy
- Track key risk metrics (e.g. hedge ratios, VaR, counterparty risk)
- Ensure strong internal controls and governance across treasury activities
Payments & Administration
- Execute treasury-related payments (FX, loans, interest, funding)
- Maintain bank access, mandates, and treasury master data
- Support KYC processes and banking relationships
- Ensure proper documentation and audit readiness
- Act as the link between Group Treasury and local finance teams
- Support subsidiaries in treasury processes and policies
What makes this role exciting
- Build & run: Shape processes while operating them day-to-day
- High impact: Direct exposure to senior stakeholders across the Group
- Ownership: Lead key initiatives like intercompany netting and TMS development
- Scalability: Design treasury operations for a growing international business
About you
- 5+ years of experience in Corporate Treasury
- Strong knowledge of treasury accounting and financial reporting
- Experience with cash management, liquidity planning, and cash pooling
- Proven track record with intercompany financing and netting processes
- Familiar with FX, hedging instruments, and interest rate products
- Hands-on experience with Treasury Management Systems (TMS)
- Advanced Excel and strong analytical skills
- Comfortable working independently in a “build from scratch” environment
What We Offer
- A truly global finance environment
- A collaborative accounting team in transition and development
- Home Office
- Attractive compensation package
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