Interim Search has been entrusted with the appointment of an Interim Treasury Specialist for a manufacturing group based in Stockholm.
Main duties:
- Cash management and financial risk management.
- Drive policy in Treasury from project stage to operational management.
- Responsible for group risk management and governance.
- Management of foreign exchange transactions.
- You report to the Group CFO.
- No responsibility for staff.
To be eligible for the role:
- Has solid experience in accounting and treasury.
- Has worked on tax issues, transfer pricing and insurance issues.
- Works strategically and has a strong habit of working independently as well as with his/her team at group level.
- Experience working in an international group where English is the corporate language.
- Have a good understanding of risk management.
About the process:
The assignment is part-time (50%) and is expected to last approximately 6 months. Assignment start as soon as possible. There is the possibility to work most of the time remotely. We will present candidates on August 28 and interviews will take place with the client on August 30.
Do you have the right profile and are you available? Apply now!
The recruitment consultant responsible is Michael Sjödin, working with researcher Hedda Tornert.
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