FX Liquidity Advisor

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København K

“Cash (efficiency) is King”. As part of the Global Cash Management team, you will play a key role in protecting the most valuable asset in the company, namely our cash.

We protect our cash by creating a seamless infrastructure when mobilizing our cash across borders and into the business in all parts of the world to finally end up where it belongs - in Treasury.

We offer


Maersk is a truly global company with business in about 130 countries and around 40bn USD in annual turnover. Cash is the lifeblood of our business, and ensuring that liquidity flows freely around the company, across borders and between legal entities, is critical for our success as a business and a central responsibility of the treasury team. This is thus a chance to make a highly strategic impact on company performance.

The role is project focused and hands on, giving you real responsibility and opportunity to own and deliver on the company’s strategy for managing cash. You will be working closely with the rest of the team and stakeholders in all regions and business segments in building the knowledge and infrastructure for efficient cash management solutions globally. Further, you will have ample opportunities to develop your skillset into general corporate treasury management.

Your home in Treasury and Risk (T&R) will be Global Cash Management, a dedicated and diverse team of 12 professionals who share responsibility for the company’s exposure to financial market risk, managing our liquidity globally and our transaction banking infrastructure.

The wider T&R team employs approximately 70 professionals of 12 nationalities. In addition to Global Cash Management, T&R consists of the Funding, Reporting and Control, Back office, and Insurance and Risk management teams. We are based in our head office at Esplanaden, Copenhagen, with liaisons around the globe.

Key responsibilities


Your responsibilities will be centered on cash efficiency projects across regions and businesses, and you will be the expert and go-to person in the efforts to increase cash efficiency in countries/markets where local regulation makes it difficult to operate.

More specifically you will:

• Work actively with bringing down restricted cash balances by utilizing the tools in “the Treasury toolbox” including the relationship to our core banks.

• Work closely with and build understanding of the liquidity situation and needs of our various businesses, developing yourself into a trusted business partner to stakeholders at all levels in the organization.

• Assist the Cash Management Strategy team in re-banking projects across the world, potentially running a project independently.

• Share responsibility for the management of the company’s external liquidity and FX positions globally with your team mates.

• Be prepared to take on challenges outside your established job description.

We are looking for


You are likely to have 2-4 years of experience from a major international corporate working in the finance organization as a Treasury Associate or a Finance Business Partner, where you have developed a deep understanding of how the business operates, the P&L and KPI drivers that drive incentives, and how liquidity is managed on a daily basis in the front line.

You hold a relevant academic degree, preferably a Master’s in finance or economics.

You are a smart person, able to quickly take in and process information and draw conclusions but are also able to communicate complex matters in English in a way that people can understand. You don’t mind having many stakeholders and people asking things from you.

A no-quitter, you take initiatives and get things done and can drive a project or task across the finish line, even when facing obstacles.

As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs.

We are proud of our diversity and see it as a genuine source of strength for building high-performing teams.


Information og data

Denne ledige stilling har jobtypen "Øvrige", og befinder sig i kategorien "Øvrige stillinger".

Arbejdsstedet er beliggende i København K.

Jobbet er oprettet på vores service den 13.10.2020, 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.
  • Øvrige
  • København K

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