Treasury Analyst

Arbetsbeskrivning

The Treasury department currently consist of seven professionals divided into two teams; Treasury Funding & Controlling and Treasury Operations. Treasury Funding & Controlling has an overall responsibility for long term liquidity planning and ensuring that Klarna can always finance its business growth. Treasury Operations are responsible for daily liquidity management, ensuring that the company has enough funds to meet liquidity needs, investing surplus cash and manage financial risks.

As a Treasury Analyst within Treasury Funding & Controlling you will have the opportunity to maintain and develop Klarna's current financing sources with banks and retail deposits as well as develop new sources to support further growth. You will be expected to manage several of the daily tasks related to Klarnas liquidity planning and support in future funding discussions and scenario analysis. As part of the Treasury team you?ll be expected to manage a high pace environment with analytical tasks as well as contact with large international banks and internal stakeholders.

This is an opportunity to join the Treasury Funding & Controlling of a fast growing company within the Financial Sector. You will get the opportunity to quickly learn about debt capital markets and how to use this in relation to Klarnas global funding requirements. Klarnas high growth and fast moving environment put Treasury Funding in a key position which will give the candidate a great possibility to develop his/her skills in the field of financing. Working for Treasury in a financial company regulated by SFSA means you will also get to acquire knowledge regarding the regulatory framework most institutions within the financial sector operate under.

Main tasks
- Analyse Klarnas funding need and key drivers
- Improve and implement forecast and reporting with focus on funding need and debt components
- Support in communication with external lenders/stakeholders
- Internal Treasury reporting including liquidity stress tests
- Ad-hoc liquidity related analysis

Requirements
- University degree with a major in Finance or equivalent
- Experience from, or a great interest in working with financial debt solutions such as Bank debt, Asset backed securities, deposits etc.
- Advanced user of Microsoft Office programs with main focus on Microsoft Excel
- Excellent language skills in written and spoken English
- Analytical ability with very strong commitment, take on tasks with humility and enjoys solving complex issues within the team in a pragmatic way.

Nice-to-have
- German language skills
- 1 year work experience within financial markets

In order to enjoy working for Treasury Funding & Controlling at Klarna AB, you need a strong personal drive and a willingness to continuously learn more about, and contribute to, the development and improvement of Treasury practices and processes. As part of a fast growing company you should enjoy working with short time frames and have a high degree of flexibility. Excellent interpersonal skills and the ability to communicate well both with internal and external contacts will be required if you are to succeed in this role.

For questions please contact Lina Hasselquist at lina.hasselquist@klarna.com. We recommend you to apply as soon as possible, selection and interviews are held continuously.

Location
Stockholm, Sweden

Kontaktpersoner på detta företaget

Klara Westling

Aviad Tamir
070-161 26 91

Sammanfattning

  • Arbetsplats: KLARNA AB STOCKHOLM
  • 1 plats
  • Tillsvidare
  • Heltid
  • Publicerat: 8 april 2014

Besöksadress

NORRA STATIONSGATAN 61
STOCKHOLM

Postadress

NORRA STATIONSGATAN 61
STOCKHOLM, 11343

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