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    Treasury Analyst - Linköping, Sverige - SweGaN AB

    SweGaN AB
    SweGaN AB Linköping, Sverige

    för 1 vecka sedan

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    Company Background:

    • SweGaN is a European semiconductor manufacturer that develops and produces customer-made materials and high-performance gallium nitride epitaxial wafers for manufacturers of leading components and devices. SweGaN products are used for a wide array of applications including 5G telecommunications infrastructure, defense radars, satellite communications, EVs, high voltage power switches and more. SweGaN's benchmark QuanFINE epitaxial growth technology increases performance of RF and power devices and reduces energy consumption.
    • With headquarters in the technology hub of Linköping, Sweden, SweGaN maintains close collaboration with renowned research groups at Linköping University and Chalmers University of Technology.
    • 20 employees

    TREASURY

    Responsibilities

    Drive the treasury agenda internally at Swegan AB

    • Liquidity management across our group
    • Oversee and manage portfolio of hedging instruments.
    • Secure that analytical tools are available for producing reports and analysis.
    • Prepare various financial analysis and materials for including materials for the group management team and Board of Directors.

    Relevant Skills And Interpersonal Skills

    • Responsible for setting up and developing policies and frameworks for liquidity management, risk, financing and reporting structure.
    • Responsible for liquidity forecast, bank accounts, treasury reporting and exchange rates and the risks related to this.
    • Responsible for bank relations, ie maintaining bank relations and negotiating loan agreements.
    • Ensure efficient processes within the function.
    • Develop and implement a long-term strategy for internal loan structure which includes optimizing the capital structure and minimizing financial risk.
    • Minimum a bachelor's degree in finance, accounting, industrial economics, or other business-related fields.
    • Good experience from treasury operations.
    • Develop and implement a long-term strategy for internal loan structure which includes optimizing the capital structure and minimizing financial risk Minimum a bachelor's degree in finance, accounting, industrial economics, or other business-related fields
    • Good experience from treasury operations.
    • Experience from managing portfolios of interest rate, FX and commodity derivatives
    • Experience from project financing is a positive
    • A relentless passion for treasury management and a conviction of its impact on the business' long- and short-term success
    • Strong academic record combined with great numerical and analytical skills
    • Positive mindset and an outgoing personality
    • Excellent interpersonal skills, including written and oral communication skills; be comfortable interacting with executive-level management
    • Comfortable dealing with ambiguity and working independently, with a passion to learn and grow
    • Experienced PowerPoint and Excel user, ideally with experience from Power BI
    • A team player with energy and drive.

    Application Deadline: May 17th

    Application Process:

    • Please reference job title in the subject line and ensure contact name and e-mail are provided in the CV.

    Please send applications to