
Capega AB · Stockholm
Som Treasury Specialist ansvarar du för att utveckla och optimera företagets treasury-processer genom ett nära samarbete med globala intressenter och tekniska system.
Som Treasury Specialist ansvarar du för att utveckla och optimera företagets treasury-processer genom ett nära samarbete med globala intressenter och tekniska system.
Treasury Specialist – Group Treasury
Vill du arbeta inom treasury i en dynamisk och internationell miljö där du får samarbeta med intressenter globalt? Är du en kombination av social och analytisk, med ett genuint intresse för system, förbättringsarbete och ny teknik? Då kan detta vara rollen för dig.
Till en globalt ledande koncern söker vi nu en Treasury Specialist till Group Treasury. Här erbjuds du en bred och utvecklande roll där du får möjlighet att påverka arbetssätt, driva förbättringar och utvecklas tillsammans med ett engagerat team.
Group Treasury är koncernens centrala finansfunktion med globalt ansvar för att samordna koncernens finansiella aktiviteter. Du blir en del av backofficeteamet som ansvarar för likviditet, betalningar, operativ kassahantering, netting, internbank samt olika utvecklings- och förändringsprojekt. Funktionen ansvarar även för koncernens lång- och kortfristiga finansiering, relationer med kreditmarknaderna, hantering av valuta-, ränte- och energirisker samt andra finansiella frågor. Du arbetar i en internationell miljö med många kontaktytor över funktioner, affärsområden och länder. Bolaget har sitt huvudkontor i moderna lokaler i centrala Stockholm.
Arbetsbeskrivning
Som Treasury Specialist får du en varierad roll där du kombinerar operativt treasuryarbete med analys, processutveckling och systemförbättringar. Du fungerar som backup för teamets Treasury-administratörer i det dagliga arbetet, men en stor del av rollen handlar om att analysera befintliga processer och identifiera möjligheter att effektivisera och automatisera arbetsflöden.
Du kommer att utveckla en god förståelse för Treasurys processer i sin helhet och arbeta aktivt i SAP S/4HANA och Treasury-systemet. Rollen passar dig som har ett stort systemintresse och tycker om att förstå hur processer, data och teknik hänger ihop. Har du dessutom ett intresse för AI, programmering eller automatisering ser vi det som ett stort plus.
Du blir involverad i projekt tillsammans med flera delar av Treasury-organisationen, exempelvis Cash Management, Treasury Control och Global Business Services, samt har många kontaktytor både internt och externt. För rätt person finns goda möjligheter att utvecklas vidare inom Treasury och ta ett större ansvar över tid.
Hantera masterdata i Treasury-systemet och SAP S/4HANA.
Vara backup för det operativa backofficearbetet, exempelvis kassahantering och månatlig netting.
Analysera och utveckla Treasury-processer med fokus på effektivisering, automatisering och minskade operativa risker.
Identifiera och driva förbättringsinitiativ inom system och arbetsflöden.
Delta i projekt tillsammans med olika Treasury-funktioner och andra delar av verksamheten.
Ha löpande dialog med interna och externa finansiella motparter.
Kompetens och erfarenhet
Vi söker dig som är nyfiken, ödmjuk och noggrann. Du är prestigelös, lösningsorienterad och trivs med att ta egna initiativ. Du motiveras av att förstå processer på djupet och ser möjligheter där andra ser utmaningar. Samtidigt är du en lagspelare som uppskattar samarbete i en internationell organisation.
Universitetsexamen inom ekonomi, finans, företagsekonomi eller motsvarande.
Minst tre års relevant arbetslivserfarenhet från treasury, bank, finansbolag eller konsultverksamhet.
Ett starkt analytiskt förhållningssätt och ett genuint intresse för system och processutveckling.
Erfarenhet av SAP är meriterande men inte ett krav.
Erfarenhet av Power BI, VBA, SQL eller liknande verktyg är meriterande.
Intresse för AI, programmering eller automatisering är ett plus.
Mycket goda kunskaper i svenska och engelska, både i tal och skrift.
Vi erbjuder en utvecklande roll i en global organisation där du får möjlighet att arbeta nära verksamheten, påverka hur Treasury utvecklas och vara en del av ett team som värdesätter samarbete, nytänkande och ständiga förbättringar.
Övrig information
Detta är ett konsultuppdrag med start under augusti 2026. Uppdraget löper under tiden som bolaget genomför en rekryteringsprocess. För dig som trivs i rollen och är intresserad av en långsiktig lösning finns därför goda möjligheter att konsultuppdraget övergår i en fast anställning hos bolaget.
Har du frågor om tjänsten är du varmt välkommen att kontakta Åsa Ollert på Capega.
Varmt välkommen med din ansökan!
Om Capega Capega är ett auktoriserat bemannings- och rekryteringsföretag med kontor i centrala Stockholm. Vi är specialiserade på interimslösningar och rekrytering inom ekonomi, fastighet, bank, finans & försäkring. Som helhetsleverantör hjälper vi er att tillsätta tjänster på alla nivåer med rätt kompetens. Läs mer om oss på www.capega.se och ta en första kontakt.
Konsult hos Capega Som konsult hos Capega blir du en del av ett personligt bolag som med bred kompetens och stort nätverk ger dig rätt förutsättning att utvecklas inom din yrkesroll. Då vi värdesätter dig och dina kvalifikationer är det viktigt för oss att du trivs som vår konsult. Du får en engagerad konsultchef som känner till din bransch väl och du erbjuds goda anställningsvillkor med friskvårdbidrag och tjänstepension.
För mer information om nya tjänster, följ oss på LinkedIn eller håll utkik på www.capega.se
Your New Role Now, they’re looking for a Treasury Specialist who thrives where precision meets pace, someone who can own the details while seeing the bigger financial picture. We’re partnering with a world-leading digital platform that operates on a massive global scale, where billions of transactions, currencies, and users interact every day. Behind the scenes, a high-performing Treasury function ensures liquidity flows, risks are managed, and operations run flawlessly. You’ll play a key role within a global Treasury team spanning Europe and the U.S., supporting both day-to-day operations and forward-looking initiatives. T What You’ll Be Doing Treasury Operations Own and execute back-office processes: FX trade administration, settlements, reconciliations, and month-end closing Ensure smooth operation of automated treasury workflows and systems Act as a guardian of accuracy, control, and continuity Risk Management Monitor liquidity, FX exposure, and counterparty risk within established frameworks Support reporting and provide insights to senior stakeholders Help maintain a proactive approach to financial risk Projects & Optimization Contribute to treasury-related initiative systems, controls, and process improvements Identify opportunities for automation, efficiency, and stronger governance Collaborate cross-functionally to elevate treasury capabilities. Company Presentation Our client is a global tech company offering popular streaming services to millions of users worldwide. With a vibrant headquarters in Stockholm they provide a flexible environment where creativity and innovation thrive. The corporate language is English, and cross-functional teams work together to develop products that reach millions every day. Here, you’ll have the opportunity to shape the future of digital experiences in a culture that values technical excellence, forward-thinking, and collaboration. Good to Know Scope of employment: Full-time, 100% Type of contract: Fixed-term employment as a consultant via JobBusters. Start date: As agreed End date: 2026-11-24, with the possibility of extension In your application: Please ensure that your CV clearly demonstrates how you meet the qualifications required by the client. To succeed in this role, you will need: Experienced in treasury operations or financial back-office environments Comfortable navigating FX, liquidity management, and financial instruments Skilled in treasury systems (experience with Kyriba is a plus) and curious about AI-driven tools Independent, proactive, and energized by fast-paced, global environments What we Offer Secure employment with a collective bargaining agreement, insurance coverage and occupational pension Wellness allowance and employee discounts and offers via Benifex (e.g., health, leisure, transport and healthcare) Flex pension and access to the Lifeplan pension advisory service Additional compensation during parental leave Occupational health services Long-term assignments and a dedicated Consultant Manager for personal support Opportunities to build valuable experience, expand your network and grow your future career We look forward to receiving your application We review applications on an ongoing basis. As recruitment processes in the consulting industry can move quickly, the position may be filled before the advertised deadline — so we encourage you to apply as soon as possible. You do not need to submit a cover letter. Instead, please respond to the screening questions included in the application process.
Studies show that women and underrepresented groups often hesitate to apply unless they meet every requirement. At Stegra, we’re building an impact-driven, sustainable company - and we need a diverse, inclusive team to make it happen. If you share our passion but don’t meet every qualification, we encourage you to apply anyway. You might be the perfect fit for this role, or another as we grow. At Stegra, we’re not just building a plant, we’re proving that sustainable industry is possible. And to do that, we need people like you. Join a team where safety comes first. Where we support each other, learn as we go, and make space for everyone to grow and contribute. This is your chance to be part of something big - while being closer to nature and leading a balanced, purposeful life. Treasury Front Office SpecialistWhat you’ll do Right now, we are looking for a Treasury Front Office Specialist for our Treasury team. In this role you will report to our Head of Treasury and sit within our Finance function. The team is responsible for managing liquidity, financial risks, funding activities, and treasury operations while supporting Stegra’s continued growth and operational readiness. Specific to this role, the day-to-day tasks will include the following but as we are a growing company with very little silos between teams, other tasks might be included as well. Execute daily liquidity management activities, including cash positioning across entities and currencies to ensure optimal use of available funds. Monitor and manage financial risks such as FX, interest rate, and commodity exposures, including executing hedging transactions in line with Treasury Policies. Analyze market developments and provide insights and recommendations to support treasury decision-making. Maintain and develop relationships with banks and financial counterparties, including coordinating transactional and operational matters. Support funding activities including loan drawdowns, repayments, and related documentation processes. Develop and improve treasury processes, controls, and front office procedures to enhance efficiency and risk management. Drive or contribute to treasury-related projects such as system implementations, process automation, and infrastructure improvements. Collaborate with internal stakeholders across finance and other functions to provide treasury expertise and support business needs. What you’ll bring You’re curious and believe that real progress happens when we work together. You’re not afraid to challenge old ways of thinking - and you treat others with respect while doing it. At Stegra, we value people who take initiative, build trust, and help create a workplace where everyone can do their best. Specific to this role, we would like to see that you can tick off a fair amount of the boxes below Bachelor’s degree in Finance, Economics, Business Administration, or a related field. At least 5 years of experience within treasury, including front office activities such as liquidity management and FX, interest rate, and commodity trading. Strong understanding of financial instruments such as FX forwards, interest rate products, commodity futures, and cash management tools. Experience working with treasury management systems and financial reporting tools. Strong analytical and quantitative skills with the ability to interpret market developments and financial risks. Experience collaborating with cross-functional stakeholders and external financial institutions. Understanding of project financing structures is considered an advantage. Benefits at Stegra At Stegra, you’ll join a company where your work has real impact on the climate, the industry, and future generations. We’re building a culture rooted in safety, trust, and inclusion, where people feel supported to grow and thrive. You’ll receive fair, competitive compensation aligned with collective agreements, along with benefits like up to 30 days of paid vacation, occupational pension, parental benefits, and insurance. If you need support with relocation or immigration, our relocation department will help guide you through the process, whether it’s permits, housing or other practical matters. You can also enjoy perks like subsidized gym memberships and bike leases. Read more about Benefits at Stegra here. This is Stegra Stegra is on a mission to change the global steel industry by producing green hydrogen, iron, and steel - with the goal of eliminating CO₂ emissions. Instead of coal, we use green hydrogen and fossil-free electricity, meaning our primary emissions will be water and heat. By 2030, our ambition is to produce 5 million tonnes of green steel annually in our fully integrated, digitized, and sustainable plant in Boden, Northern Sweden - currently under construction. But this is just the beginning. Our expertise in green hydrogen will enable us to decarbonize industries beyond steel, paving the way for a cleaner future. Our Stockholm Office Our modern Stockholm office is located on Norra Stationsgatan, close to Karolinska University Hospital in central Stockholm. Here, you’ll find a bright, collaborative workspace where cross-functional teams connect, share ideas, and drive progress. Whether you're visiting regularly or working hybrid, you'll be part of a vibrant office culture with easy access to the city’s energy and amenities.
Build the Future of Technology with Professional Galaxy AB Join a network of talented engineers, developers, cloud specialists, and AI innovators working on impactful projects across Sweden and Europe. At Professional Galaxy AB, we connect top tech talent with organizations driving digital transformation in areas like cloud computing, software engineering, data, cybersecurity, and artificial intelligence. Explore exciting opportunities and grow your career while working with cutting-edge technologies and forward-thinking teams. We are looking for a SAP Functional Specialist Responsibilities & Tasks You will enable business development by leveraging your system and business expertise to propose and design high-level improvements for future solutions. You will also participate in and provide guidance on rollout and project design to ensure alignment with global templates. Your responsibilities will include: Analyzing business requirements and identifying effective solutions Configuring the system and/or writing technical specifications for new functionality Testing, supporting, and maintaining the Record to Report solution Mentoring team members and coordinating with cross-functional and technical teams Qualifications Your mindset and skills We believe you bring solid experience in the SAP Finance and Controlling area, with strong knowledge of system design, concepts, principles, and configuration. You are confident in explaining complex finance, accounting, and SAP-related topics to both team members and stakeholders. You are comfortable working independently as well as collaboratively, and you value clear communication and knowledge sharing. Additional beneficial competences 10+ years of experience in SAP Finance, with strong expertise in Payments, Banking, BCM, Electronic Bank Statements, Cash Management, and Treasury in SAP ECC and/or S/4HANA Experience in SAP Treasury solutions (MM, FX, Yield Curves, Cash Pool & Sweeps) Experience or knowledge in FICA-Payments Participation in 3+ implementation projects Experience with long-term support and optimization of SAP Finance solutions Strong ability to communicate complex topics to both technical and non-technical stakeholders Good understanding of financial processes in large organizations Experience with SAP transport and change management tools (STMS, Solution Manager, ActiveControl) Experience with WRICEF objects from a functional perspective Experience from retail industry, especially SAP FI-CA Experience with SWIFT integrations Familiarity with Agile methodologies (SAFe or similar) Personal characteristics Strategic and analytical mindset with strong execution capabilities Ability to analyze complex information and communicate it clearly Proactive and accountable with a continuous improvement mindset Strong communication and interpersonal skills Comfortable working independently and in teams Uppdragsinformation Uppdragslängd: 2026-05-11 – 2026-09-30 Placeringsort: Stockholm Svar önskas snarast, dock senast 2026-05-09 How to Apply Please apply via the Professional Galaxy AB portal with: Your updated CV Your availability to start A motivation statement describing your suitability Please note: Applications via email will not be accepted. All applications must be submitted through the portal.