Director Group Treasury, BillerudKorsnäs

As a Director Group Treasury you will lead the Treasury function for the BillerudKorsnäs Group. You will plan, lead and develop the Treasury team of approx. 10 employees and integrate and develop Treasury operations of the newly merged operations in North America. You will be responsible for all aspects of funding and financial risk management for the Group and ensure efficient execution of the treasury tasks including trade finance and credit control operations.

Your main duties will be:

  • Short and long-term funding of the Group’s operations and capex programs
  • Management of the Group’s financial risks
  • Maintaining and developing business relationships with banks
  • Securing efficient global cash management operations
  • Establishing framework for global insurance policies
  • Ensuring efficient trade finance and credit control operations
  • Proactively participating in corporate finance and M&A projects together with top management

You will report to the CFO and be a member of Finance Lead Team. The position is placed at our head office in Solna.



  • A University Degree in Finance, Business Administration or equivalent
  • Significant experience from debt capital markets funding and overall funding structuring
  • Track record of staff responsibility
  • Significant experience from working with financial risk management
  • Fluency in Swedish and English

To succeed in this position we believe you are a highly motivated individual with high integrity. You have strong leadership skills and take proactive lead in day to day operations of the function. You are a confident communicator and comfortable negotiator with internal as well as external stakeholders. You have strong analytical skills and solution-oriented mindset.



Welcome with your application no later than the 15th of May. Selection is made continuously.

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