Vice President - Group Treasury

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We are looking for a Vice President, Group Treasury that will have the experience and vision to lead and develop a strong Nordic treasury and risk function, working with a cross-functional team. The Vice President, Group Treasury is responsible for the establishment and communication of treasury and risk plans, that are addressed in due time to the finance organization. The VP Treasury makes sure that objectives are consistent with corporate ambitions and strategies that the VP Treasury carries out and makes sure is implemented correctly.

Primary responsibilities


The role requires the ability to build strong, influential, and trusting relationships externally with key partners and internally with businesses, functions and the Private Equity owner, EQT. Externally, treasury leads relationships with commercial banks, investment advisors, insurance partners, external service providers. Internally, the Treasury team partners with colleagues around the Nordic, at all levels, in business teams, regional teams, as well as key functional areas of the Nordic company. The role reports to EVP & Group CFO.

Overall

  • Provide leadership, vision, oversight and strategic direction for the company’s efficient and effective treasury and risk operations, including Nordic treasury, banking, investments, debt, and risk management activities.
  • Provide strong business and decision support, resolution of issues, and high value recommendations.
  • Act as a treasury and risk subject matter expert and advisor to the Group CFO and Senior Management. Key advisor to the Private Equity owners – EQT.
  • Actively participate as member of the company’s finance leadership team.
  • Represent treasury and risk with internal and external stakeholders to effectively work across multiple functions and project credibility.
  • Present influentially to accomplish the best possible business and financial outcomes for the company.
  • Align treasury department resources to accomplish objectives and support the achievement of company objectives.
  • Foster an environment of continuous improvement focusing on streamlining, improving, and automating processes.
  • Manage people-related and administrative tasks such as hiring, goal setting, and performance reviews.
  • Provide thought leadership on ad-hoc projects as required by the Group CFO.
  • Champion an engaged, inclusive and attractive work environment with a winning, high-performance culture.
  • Secure in due time that issues are flagged to the finance organization to avoid risks.
  • At times be hands-on to ensure that the existing strategies are carried out correctly.

Banking, Debt, Cash Management and Risk

  • Oversee and provide support for the development of efficient and effective cash forecasting, Nordic cash consolidation, dividends, company funding, debt alternatives, capitalization, and related documentation.
  • Support banking and risk needs of the business to navigate new business ventures, new markets, new legal entities, and cross-border financing.
  • Work with Tax, Accounting, Legal, and local finance colleagues to develop tax efficient cash repatriation and documentation.
  • Develop and maintain banking and lending relationships, negotiate credit facilities, issues corporate debt, develop and review debt compliance and debt reporting.
  • Oversee Treasury’s participation in M&A activities, including due diligence, integration planning, and execution of treasury related integration activities.
  • Oversee the review, analysis and recommendation of foreign currency and other hedging exposures and implementation of any approved hedging measures.
  • Oversee the establishment, administration, oversight and maintenance of treasury policies, practices, and procedures.
  • Ensure continuous compliance with audit and regulatory requirements.
  • Stay updated on relevant banking regulations, treasury practices, banking and treasury technologies and their usage.
  • Oversee the assessment of risk exposures and the development of risk management strategies.

Professional skills


  • Master’s degree in accounting or finance.
  • MBA, treasury or insurance certifications, PE company experience is a plus.
  • +10 years of accounting or finance experience required, ideally gained from a mix of accounting, treasury, corporate finance and risk roles.
  • Ability and vision to set clearly defined strategies and objectives to consistently achieve results.
  • Proven success managing and prioritizing multiple projects and critical timelines across a fast-paced and continually changing environment.
  • Experience working in a Nordic business and banking environment, with a sound understanding of treasury practices, processes, cash consolidation and repatriation mechanics.
  • Knowledge of commercial insurance coverage and enterprise risk management programs.
  • Knowledge and understanding of accounting theory and practice, financial statements, and footnotes.
  • Experience with Capital Structure and financing.

About GlobalConnect Group


With more than 20 years of experience of building infrastructure in the Nordics, GlobalConnect is the leading supplier of fiber-based data communications and data centres in Northern Europe. In May 2018, GlobalConnect was acquired by EQT Infrastructure, which enables them to continuously invest in new infrastructure, automation, and security solutions. GlobalConnect’s fiber network allows people to reach almost any destination in the Nordics. The backbone connects to owned local networks and data centres in Denmark, Finland, Norway, Sweden and Germany and POP in all major interconnection cities, enabling a strong local presence with global reach. GlobalConnect owns 100.000 km fiber network and 33.000 m2 of secure data centres in Sweden, Norway, Denmark, Finland, and Germany and is a one stop shop offering a full suite of carrier services. On top of this, a new digital highway from Berlin to the northern parts of Europe is being built.

GlobalConnect’s presence and infrastructure are the starting point for the next step in their customers’ digital journey. In addition, customers gain access to market-leading solutions in networking, IT security, IT outsourcing and data communication.

Contact Partner, Claes Nørgaard for further information at [email protected]



Information og data

Denne ledige stilling har jobtypen "Direktør", og befinder sig i kategorien "Ledelse og personale".

Arbejdsstedet er beliggende i Storkøbenhavn

Jobbet er oprettet på vores service den 5.9.2024, men kan have været deaktiveret og genaktiveret igen.

Dagligt opdateret: Dette job opdateres dagligt ud fra jobudbyderens hjemmeside via vores søgemaskineteknologi og er aktivt lige nu.
  • Direktør
  • Storkøbenhavn

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