Treasury Manager

2 weeks ago


Copenhagen, Copenhagen, Denmark Carlsberg Danmark Full time

(Senior) Treasury Manager, Group Treasury & Risk Management

In Group Treasury & Risk Management in Carlsberg Breweries A/S we are offering an exciting job within treasury management in our Front Office team. You will be located in our lovely headquarters building in Valby in Copenhagen and work with internal and external stakeholders around the world.

Group Treasury & Risk Management is globally responsible for financial and enterprise risk management for the Carlsberg Group. We manage e.g. banks, cash and working capital, financial risk, funding, financial controlling, and insurance on a group level. We are 14 employees split into three teams: Group Treasury Front Office, Middle Office, and Risk Management. We work with group entities and functions across the Carlsberg Group as well as with major banks and insurers around the world.

Now there's a chance for you to be part of a well-functioning team that enjoys working and having fun together

What you'll be doing

Your primary tasks and responsibilities include:

  • Financial risk management, including hedging of foreign exchange and commodities
  • Financial analysis
  • Cash, debt and liquidity management
  • Process optimisation
  • Dealing with subsidiaries on a global scale including capitalisation, loans, dividends and hedging

What we're looking for

It would be great if you:

  • Have treasury-related professional experience on a global or regional scale
  • Have strong financial analysis skills and experience with financial risk management and corporate finance
  • Have a master's degree in Finance, Economics, or Accounting
  • Have work experience from a large international company or financial institution
  • Are focused on financial data with experience in working with various systems
  • Are fluent in English, which is our company language, both oral and written
  • Have a strong sense of responsibility and independence in your daily tasks
  • Have a structured mindset with an eye for detail and delivering projects on time

What you can expect

In Carlsberg, we are brewing for a better today and tomorrow and what we can offer you is an equal opportunity to grow across our company. We believe that each employee drives their own seat in designing their career path and we fully support them endeavoring to create as many development opportunities as possible through internal promotions, Short / Long Time Assignments (STA/LTA), and horizontal moves within different markets.

All of this takes place in a culturally diverse environment, where we celebrate our successes together. No matter where you are from, who you are, or what experiences you bring to the table, all we say is: WELCOME YOU

If you join our team, some of the benefits you'll enjoy are:

  • Flexible, hybrid work model
  • Annual bonus based on company and individual performance
  • Unlimited soft and coffee drinks in the office
  • Monthly beer and soft drink allowance
  • Well-equipped and comfortable office in the heart of Carlsberg City District in Valby, Copenhagen
  • Opportunities to have fun together during regular Friday bars with alcohol and alcohol-free drinks.

Interested?

Apply through the link. Please notice that this is the only way we accept applications.

The deadline for applying is 16th of September. We read applications continuously, and vacancies may be filled sooner than the deadline, so we encourage you to apply as early as possible.

We look forward to receiving your application.

#J-18808-Ljbffr

  • Copenhagen, Copenhagen, Denmark Nuuday Full time

    Treasury Manager to TDC NET Treasury & Investor Relations TDC NET is searching for a motivated Treasury Manager to the Treasury & Investor Relations team. In this role, you will oversee liquidity, cash management as well as manage and develop core treasury operations.TDC NET TreasuryTDC NET Treasury is responsible for managing TDC's capital structure, which...


  • Copenhagen, Copenhagen, Denmark Nuuday Full time

    Treasury Manager to TDC NET Treasury & Investor Relations TDC NET is searching for a motivated Treasury Manager to the Treasury & Investor Relations team. In this role, you will oversee liquidity, cash management as well as manage and develop core treasury operations. TDC NET Treasury TDC NET Treasury is responsible for managing TDC's capital structure,...

  • Treasury Manager

    2 weeks ago


    Copenhagen, Copenhagen, Denmark Flying Tiger Copenhagen Full time

    Flying Tiger Copenhagen is looking for a Treasury Manager to be responsible for ensuring accurate liquidity forecasts, executing hedging activities in line with the company's treasury policies, and overseeing other essential treasury functions to contribute to the overall financial health and risk management of the organization.As our new Treasury Manager,...


  • Copenhagen, Copenhagen, Denmark Nuuday Full time

    About the RoleWe are seeking an experienced Treasury Manager to join our team at TDC NET. As a key member of our Treasury & Investor Relations team, you will be responsible for overseeing liquidity, cash management, and managing core treasury operations.


  • Copenhagen, Copenhagen, Denmark Carlsberg Danmark Full time

    **Company Overview**Carlsberg Danmark, a leading beverage company, is seeking an experienced Treasury Manager to join its Group Treasury & Risk Management team. Our team is responsible for financial and enterprise risk management for the Carlsberg Group, managing banks, cash, working capital, financial risk, funding, financial controlling, and insurance on a...

  • Treasury Manager

    7 days ago


    Copenhagen, Copenhagen, Denmark Alm. Brand Group Full time

    Har du lyst til at arbejde med likviditetsstyring, håndtering af bankrelationer og rente- og valutarisiko? Har du lyst til at blive en del af Treasury i en af Danmarks største skadesforsikringskoncerner? Vi søger lige nu en engageret og struktureret kollega til vores Treasury og Investeringsteam i afdelingen Investering og Kapitalstyring i Alm. Brand...


  • Copenhagen, Copenhagen, Denmark Saxo Bank Full time

    Job OverviewSaxo Bank is looking for a skilled Treasury Risk Manager to join its Internal Banking and Balance Sheet Risk team. The ideal candidate will have experience in risk management or treasury functions, preferably from a financial institution.The successful candidate will be responsible for:Driving internal bank earnings and risk initiatives,...


  • Copenhagen, Copenhagen, Denmark Kommunikationsforum Full time

    Role OverviewThe Treasury Risk Management Specialist will play a pivotal role in managing DFDS' financial risks, funding, bank relations, and cash management at a group level. This exciting opportunity involves developing competencies in a dynamic organisation with a high degree of knowledge sharing and sparring.Key ResponsibilitiesLiquidity & Financial...


  • Copenhagen, Copenhagen, Denmark Flying Tiger Copenhagen Full time

    About Flying Tiger Copenhagen:We are a company founded on Scandinavian values, committed to being fun and relevant while putting our heart into everything we do. Our Group Treasury & Tax function supports the entire organization, working closely with our HQ in Copenhagen and all our markets around the world.Job Description:The successful candidate will be a...


  • Copenhagen, Copenhagen, Denmark Nuuday Full time

    Job DescriptionTreasury Management: We are seeking an experienced Treasury Manager to oversee core treasury management tasks, including risk mitigation, cash management transactions, and system optimization.Liquidity Optimization: The successful candidate will collaborate closely with colleagues to ensure accurate forecasting and optimize TDC's liquidity...

  • Treasury Risk Manager

    2 weeks ago


    Copenhagen, Copenhagen, Denmark Saxo Bank Full time

    Are you passionate about banking, treasury and risk - and looking for the next step in your career - then look no further. Saxo Bank is looking for a Treasury Risk Manager to join its Internal Banking and Balance Sheet Risk team within the wider Group Markets & Treasury area.In our Internal Banking and Balance Sheet Risk team, we are responsible for managing...


  • Copenhagen, Copenhagen, Denmark Carlsberg Danmark Full time

    **Key Responsibilities**Your primary tasks and responsibilities as a Treasury Manager include:Financial risk management, including hedging of foreign exchange and commoditiesFinancial analysisCash, debt, and liquidity managementProcess optimisationDealing with subsidiaries on a global scale including capitalisation, loans, dividends, and...


  • Copenhagen, Copenhagen, Denmark PARETO SECURITIES AS Full time

    About the RoleAre you passionate about combining software development, data analysis, and financial markets? Would you like to work closely with traders and financial professionals, building IT solutions that drive real business impact? Then we would love to hear from youBanking Circle is a truly international and vibrant company with more than 600 skilled...


  • Copenhagen, Copenhagen, Denmark PARETO SECURITIES AS Full time

    About the Role Are you passionate about combining software development, data analysis, and financial markets? Would you like to work closely with traders and financial professionals, building IT solutions that drive real business impact? Then we would love to hear from youBanking Circle is a truly international and vibrant company with more than 600 skilled...


  • Copenhagen, Copenhagen, Denmark Saxo Bank Full time

    As a Group Markets and Treasury Coordinator, you will be responsible for providing high-level support to the Head of Group Markets & Treasury and the Deputy COO. This involves coordinating projects, managing calendars, preparing travel arrangements, and communicating with various stakeholders. The ideal candidate will have excellent organizational and...


  • Copenhagen, Copenhagen, Denmark Kommunikationsforum Full time

    DFDS seeks an experienced Treasury Operations Specialist to join its Group Treasury team. As a key contributor, you will be responsible for managing group liquidity, integrating acquisitions, and optimizing cash management setups. Your expertise in financial analysis and risk management will drive strategic decision-making and contribute to the company's...


  • Copenhagen, Copenhagen, Denmark Kommunikationsforum Full time

    Job DescriptionThis is an exciting opportunity for a skilled Group Treasury Professional to join our team. As a key member of the Group Treasury team, you will be responsible for managing financial risks, funding, bank relations, and cash management at a group level.Key ResponsibilitiesFinancial Reporting: Prepare and analyse financial reports, providing...


  • Copenhagen, Copenhagen, Denmark PARETO SECURITIES AS Full time

    Role Description">This role is an exciting opportunity to work at the intersection of IT, quantitative analysis, and finance, supporting Treasury Traders with infrastructure and analytical solutions.Responsibilities">Develop and maintain our in-house built Treasury system using C# and React.Maintain and enhance the Treasury Management system.Implement and...


  • Copenhagen, Copenhagen, Denmark PARETO SECURITIES AS Full time

    Overview of the RoleWe are seeking a highly skilled Treasury Quantitative Analyst to join our Treasury Analytics team, where you will develop and maintain our in-house Treasury system using C# and React. As a member of our team, you will work on exciting projects, collaborate with talented colleagues, and contribute to the success of our...


  • Copenhagen, Copenhagen, Denmark Kommunikationsforum Full time

    As a key member of the treasury team, you will play a pivotal role in driving strategic priorities such as funding and hedging strategies while being involved in daily operations. You will have frequent contact with banks, follow market developments, and trade financial instruments on behalf of DFDS.The ideal candidate has at least 3 years of experience from...