Alimak Treasurys main responsibilities are to establish and manage financial risk policies and procedures for the Group, e.g., ensure an efficient capital structure, manage currency risk, cash management, guarantees and manage the Groups relationship with banks and financial institutions. In addition, the role will be a resource for various projects within Group Finance. The Treasury Controller will report to the Group Treasurer.
Key tasks and Responsibilities
How to apply/contact information:
For further information about this position and the recruitment process, please contact Sara Borgestrm, Recruitment Consultant at SJR at 070-4715914.
As selections and interviews are made on an ongoing basis, please send your application as soon as possible.
Original source: Glassdoor Sweden