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Cash Management Analyst

0to9 AB (publ)·Stockholm

Lön ej angiven · Fast månads- vecko- eller timlön

Publicerad 21 september 2026·Kontrollerad mot källan 21 september 2026

Sista ansökningsdag 20 mars 2027

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Snabb överblick

prickad = tolkat ur annonstexten

employment_type
Vanlig anställning
worktime
Heltid
scope
Tjänstgöringsgrad 100%
duration
Tills vidare
experience_required
Erfarenhet krävs
swedish
Svenska nämns i annonsen
ad_language
Annonsen är skriven på engelska

Kompetenser i annonsen

Excel

Prickade kompetenser är ord vi hittat i annonstexten, inte fält arbetsgivaren fyllt i.

Om jobbet

About the Role:

We are seeking a Cash Management Analyst to join our Treasury team. In this role, you will be responsible for the day-to-day management of the company's bank accounts, ensuring payments are executed accurately and on time, and that sufficient balances are maintained across all accounts. You will work closely with accounting colleagues and act as an operational point of contact towards our partner banks. The role reports to the Head of Group Treasury and is an opportunity to develop within a growing treasury function.

Key Responsibilities:

  • Manage and administer the company's bank accounts, including setting up new accounts with the banks used.

  • Execute and quality-assure bank payments in line with established procedures and approval rules.

  • Monitor liquidity on a daily basis, ensuring sufficient balances across all accounts and initiating transfers where needed.

  • Support cash flow forecasting and internal reporting of the group's liquidity position.

  • Reconcile bank accounts and investigate discrepancies together with accounting.

  • Act as an operational point of contact towards the banks.

  • Contribute to the improvement and automation of cash management processes, and to the documentation of routines.

Key Requirements:

  • Previous experience from banking, treasury, accounting, or a similar operational finance environment.

  • Proactive and independent approach to work, with a strong ability to drive results and manage key processes.

  • Strong Excel proficiency and experience from using AI in daily work.

  • Fluency in Swedish and English.

Why Join Us?

  • Work in a fast-paced and collaborative environment.

  • Take early ownership of processes that are critical to the company's daily operations.

  • Build a broad foundation in treasury and cash management with room to grow into more advanced areas.

Texten kommer från arbetsgivarens annons och återges i sammandrag. Vid tveksamheter gäller originalannonsen.

Arbetsort

Originalannonsen

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