| Roll |
Yrken inom finanssektorn |
| Kompetensområde |
Administration, ekonomi, juridik |
| Startdatum |
2026-05-04 |
| Slutdatum |
2027-04-04 |
| Omfattning |
100% |
| Ort |
Stockholm |
| Land |
Sweden |
| Sista svarsdatum |
2026-04-01 (Offerter kommer att behandlas löpande) |
| Kontaktperson |
Ellinor Jakobsson (ellinor.jakobsson@keyman.se | 072-529 43 56) |
| Referensnummer |
#15314 |
Övergripande uppdragsbeskrivning
KeyMan is now looking for a Senior Treasury Specialist to our Customer.
The Customer is looking for a highly skilled and detail-oriented professional to support our front office operations. This role is central to our daily market activities and requires a strong command of front office processes, financial instruments and treasury systems.
Primary Responsibilities:
Execution of Market Transactions:
The individual will execute daily transactions in foreign exchange, fixed income instruments and money market products. A solid understanding of market conventions, transaction workflows and front office execution standards is essential.
Management of Positions and Exposures:
The role involves continuous monitoring and management of cash positions, FX and interest rate exposures as well as short-term liquidity requirements. The candidate will ensure that all positions are maintained accurately and in accordance with internal guidelines and risk frameworks.
Treasury Management System Front Office Usage:
This position requires extensive hands-on experience with a treasury management system in a front office context, including deal entry, position tracking and limit controls. Familiarity with treasury management system upgrades and enhancements is highly valued.
Participation in Treasury-related Projects:
The candidate will contribute to key initiatives such as company integrations, enhancements to dealing models and the development of foreign exchange hedging programmes. The emphasis is on ensuring that the front office procedures remain efficient, accurate and aligned with best practice.
Liquidity and Internal Bank Operations:
Responsibilities include daily liquidity monitoring, coordination with the internal bank structure and management of short-term cash portfolios to support operational funding requirements.
While analytical capabilities are beneficial, this role is firmly focused on front office execution, daily operations and ensuring high-quality delivery within a fast-paced treasury environment. We are looking for an individual who demonstrates professionalism, precision and the ability to operate effectively in time-sensitive, market-driven situations. The successful candidate will contribute meaningfully to the stability and efficiency of our treasury operations.
Skallkrav
Extensive experience within the field to match the descrition above
CV needs to be in English
Börkrav
Övriga krav
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Personliga egenskaper
Övrig information
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