Who we are
Since our start in 2017 we have provided smart tools that help put financial power back in the hands of the people – where we believe it belongs. Everything we do is based on one vision: to improve the world’s financial health.
So far, we’ve helped Swedes, Finns, Norwegians and Germans save millions by refinancing expensive consumer credits. But we aim higher. New markets, new tools, new products and new ways of improving people’s financial lives. This means we need more brains and hearts to fuel our growth. That is why we are currently searching for a Treasury Analyst.
What you will be doing
As Anyfin’s Treasury Analyst you will play a key role in Anyfin’s treasury team - a team that is core to the business and absolutely essential in supporting the continued growth and expansion of Anyfin. You will team up with our Treasurer and the rest of the team to further develop and improve our treasury operations, the business and society at large!
As a Treasury Analyst, you are responsible for investor reporting and cash management (including setting up new cash management solutions in connection with expansion into new markets, interactions with main transaction banks etc). You will also monitor and analyze the performance of Anyfin’s loan portfolio, plan and manage Anyfin’s liquidity situation, and provide your support in setting up processes for managing fx and interest rate risk. You will get the opportunity to develop and improve recurring processes, in close cooperation with our financial back-end and data engineering teams to streamline and automate reporting and payment infrastructure.
Who you are
We are looking for someone with everything from 1-5 years treasury experience. If you bring experience from one or several of the following fields: cash management, liquidity planning, liquidity management, hedging, risk management, investor reporting, interaction with external counterparties, including banks - you will crush it.
If you also are an analytical, diligent, detail oriented person with a strong drive that navigates through complex projects with internal and external counterparties and have a can-do mentality - you will thrive in this role.
The formal part
BSc or MSc in business, engineering or similar.
Skilled in excel, data analysis and keynote/powerpoint
Knowledge of financial markets, as well as treasury principles and concepts
Fundamental understanding of profit and loss, balance sheet and cash flow
Experience or knowledge within SQL is a plus, but not a must
Fluent in Swedish and English
We offer you an opportunity to drive real impact in a fast growing and well funded scale-up. Learn how we operate, problem solve, work, give back and have fun to co-create innovative solutions and new approaches that help our customers towards a greater financial health. Then there is the compensation package, centrally located cozy office, extra time off on your birthday and a bunch of other benefits as well. But we will get to all that in due time.
For now begin your journey with us by clicking "Apply" below.
We cannot wait to meet you!
This job comes with several perks and benefits
Get your caffeine fix to get you started and keep you going.
Social gatherings and games; hang out with your colleagues.
Easy access and treehugger friendly workplace.
Time is precious. Make it count. Morning person or night owl, this job is for you.
Peckish after lunch? We got your back with soft drinks, treats and fruit.
Friday is something special, let's enjoy a beer together.