Head of Group Treasury Gunnebo
Anzeige vom: 06.06.2024

Head of Group Treasury

Standort:
  • Jahnatal
Gunnebo

Zusammenfassung

  • Arbeitszeit
    Vollzeit
  • Typ
    Festanstellung

Gewünschte Fähigkeiten & Kenntnisse

Security
Compliance
Cash Management
Organisation
Management

Stellenbeschreibung

Head of Group Treasury, Göteborg

Do you want to be part of creating a safer world? Without thinking about it, you meet us in your everyday life - at home, in transit and at work. We are at the airport, where you commute, where you work, play and shop. Diverse in our offering, our customer outreach and in our mindset, Gunnebo is leading the transformation of the security business through digitalization and connectivity for the continuous development of smart entrance control and safe storage solutions.

If you are passionate about being part of an exciting transformation journey working with a global, multi-cultural and highly motivated organisation this is the opportunity for you. Gunnebo is small enough to see your ideas come true, and big enough to realize your career goals.



Ihre Aufgaben


The Head of Group Treasury will be responsible for overseeing the company's treasury operating model, including cash management, debt management, trade finance, foreign exchange, and financial risk management with the overarching goal of developing and implementing strategies to optimize the group's financial position. The Head of Group Treasury will work closely with the Group CFO, being the co-driver in matters related to finance & treasury, as well as being the business partner to the two business areas in finance & treasury matters. The role will be the financing stakeholder in any M&A project or other corporate development activities and will work closely with external stakeholders such as credit institutions and owners.

The Head of Group Treasury will report to the Group CFO and will be located at the Gothenburg Sweden Group HQ.

Key Responsibilities

Cash Management: The Head of Group Treasury will be responsible for ensuring that the group has sufficient cash reserves to meet its financial obligations. This will involve managing cash flow forecasts, developing and implementing cash management policies, and overseeing cash management activities.

Debt Management: The Head of Group Treasury will be responsible for managing the company's debt portfolio, including raising new debt, refinancing existing debt, and managing the company's banking set up. The role will work closely with banks and other financial institutions to negotiate favourable terms and conditions.

Trade Finance: The Head of Group Treasury will be responsible for supporting the business units with global trade finance tools to win new business and support existing business relationships.

Foreign Exchange: The Head of Group Treasury will be responsible for managing the company's exposure to foreign exchange risk. This will involve developing and implementing hedging strategies and managing the company's exposure to currency fluctuations.

Risk Management: The Head of Group Treasury will be responsible for identifying and managing financial risks that could impact the company's financial position. This will involve working closely with the risk management team to develop and implement risk mitigation strategies.

Strategic Planning: The Head of Group Treasury will be responsible for working closely with the CFO and senior management team to develop and implement financial strategies that support the company's growth and profitability goals.



Ihr Profil


  • Bachelor's degree in finance, accounting, or a related field

  • 10+ years of experience in treasury, finance, banking or a highly related field

  • Strong analytical and problem-solving skills

  • Excellent communication and interpersonal skills

  • Ability to work collaboratively with senior management, external stakeholders, and team members

  • Experience in debt management, cash management, foreign exchange, and financial risk management

  • Familiarity with financial regulations and compliance requirements

  • Experience in working in a global organisation is desirable

  • Full professional proficiency in both Swedish and English



Wir bieten Ihnen


We offer a competitive salary package and benefits package commensurate with experience. If you are interested in this exciting opportunity, please submit your resume and cover letter for consideration before April 24 to Clara Colomes (Clara.Colomes@gunnebo.com)

Profil

Fachliche Voraussetzung

  • Banking, Betriebsmodelle, Buchhaltung, Business Development, Cash Management, Compliance, Devisenmärkte, Digitalisierung, Financial Risk Management, Finanzen, Finanzinstitut, Finanzmodellierung, Finanzwesen, Forecasting, Gewinnorientierte Umsatzziele, Handelsfinanzierung, Portfolio-Optimierung, Risikomanagement, Risikominderung, Schuldenmanagement, Speichersysteme, Stakeholder Management, Strategisches Management, Währungsrisiko

Persönliche Fähigkeiten

  • Analytisches Denken, Bewusstsein für Vielfalt, Eigenmotivation, Kommunikation, Problemanalyse, Strategisches Denken

Schulabschluss

  • Bachelor

Sprachkenntnisse

  • Englisch, Swedisch

Berufserfahrung

  • Mit Berufserfahrung

Bewerbung

    Branche:

    Industrie / Technik

    Arbeitgeber:

    Gunnebo

    Adresse:

    Gunnebo
    Carl Zeiss Str 8
    85748 Garching bei Munchen