Current jobs related to Treasury Manager Position in København - Copenhagen, Copenhagen - Kommunikationsforum


  • 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...

  • Treasury Manager

    6 days 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,...

  • Treasury Manager

    6 days ago


    Copenhagen, Copenhagen, Denmark Carlsberg Danmark Full time

    (Senior) Treasury Manager, Group Treasury & Risk ManagementIn 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...


  • 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

    15 hours 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 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 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 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 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...

  • Treasury Manager

    13 hours ago


    Copenhagen, Copenhagen, Denmark Alm. Brand Group Full time

    Om AfdelingenAfdelingen Investering og Kapitalstyring er en del af koncernens samlede økonomiafdeling/Finance og består af flere afdelinger, herunder Treasury og Investeringsteamet.Treasury-området har et betydeligt ansvar for styringen af koncernens samlede finansielle aktiver og passiver (ALM).


  • Copenhagen, Copenhagen, Denmark UNOPS Peace and Security Cluster Full time

    Duration: Ongoing, subject to organizational requirements, availability of funds and satisfactory performance.Application period: 24-Mar-2025 to 07-Apr-2025.Applications to vacancies must be received before midnight Copenhagen time (CET) on the closing date of the announcement.Please note that UNOPS will at no stage of the recruitment process request...

  • Treasury Manager

    2 days ago


    Copenhagen, Copenhagen, Denmark Alm. Brand Group Full time

    JobbeskrivelseVi søger en dygtig finansiel styringsmedarbejder til at arbejde med likviditetsstyring, håndtering af bankrelationer og rente- og valutarisiko i Alm. Brand Group.**Jobbet**Som vores nye kollega vil du hurtigt få erfaring med en bred vifte af opgaver og vil komme til at samarbejde med flere afdelinger på tværs af koncernen. Du vil få en...


  • Copenhagen, Copenhagen, Denmark Nuuday Full time

    Key ResponsibilitiesTreasury Management: Engage in core treasury management tasks, including risk mitigation and reporting thereof, cash management transactions and optimization, and maintenance of Treasury systems and operations.Liquidity Optimization: Collaborate closely with your colleagues to ensure accurate forecasting and optimize TDC's liquidity...


  • Copenhagen, Copenhagen, Denmark Egmont Group Full time

    We are looking for a highly skilled Senior Accountant to lead our finance team in a global expansion project.Your role will be crucial in supporting our vision to become the world's leading gift card provider from a financial perspective. Success in this position requires exceptional organizational skills, intellectual curiosity, and perseverance, coupled...


  • Copenhagen, Copenhagen, Denmark Flying Tiger Copenhagen Full time

    About this Opportunity:We are seeking a highly experienced Treasury Manager to join our team at Flying Tiger Copenhagen. This is a fantastic opportunity to work with a talented group of professionals who share your passion for finance and your commitment to excellence.Key Responsibilities:Liquidity Management: Develop and maintain advanced liquidity...

Treasury Manager Position in København

2 weeks ago


Copenhagen, Copenhagen, Denmark Kommunikationsforum Full time

**We're Looking for a Financial Risk Management Expert**

">

We are a leading company in the industry, and we're looking for a talented individual to join our team as a Senior Treasury Manager for Group Treasury. In this role, you will be responsible for managing our financial risks, funding, bank relations, and cash management at group level.

">

**Your Key Responsibilities**

">

You will be part of a dynamic and passionate team responsible for managing our financial risks, funding, bank relations, and cash management at group level. Tasks will vary in nature, both in terms of content and duration, depending on your experience and seniority.

">

You will be driving strategic priorities such as funding and hedging strategies while also being involved in the daily operations. This means you will follow developments in financial markets, be in frequent contact with our banks, and trade financial instruments on behalf of us.

">

**What We Offer**

">

We offer a competitive salary and benefits package, as well as opportunities for career growth and development. Our team is built on diversity and inclusivity, and we strive to continuously develop our employees, enabling them to take on increased responsibilities.

">

**Requirements**

">

To be successful in this role, you will need:

">
  1. A master's degree in Economics or Finance with excellent results.
  2. At least 3 years of experience from a corporate treasury function or the banking sector.
  3. Strong financial analysis skills and experience with financial risk management.
">

You are curious and collaborative by nature with a positive attitude towards challenges. You will be engaging with many different stakeholders; thus, it is important that you can handle different priorities simultaneously while having an eye for details and delivering projects on time.