This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
As a Tax & Treasury Manager, you will take on an important and developing role by establishing and shaping our first dedicated function within tax and treasury. You will build workflows, structures, and processes from the ground up and ensure that we have the right conditions in place for regulatory compliance, effective liquidity management, and a sustainable financial structure as we continue to expand internationally. You will be part of a lean finance organization, where a hands‑on approach will be required.
Job Responsibility:
Take responsibility for daily liquidity planning and cash management, including monitoring cash flows and developing efficient routines
Work with currency management and financial risk, including establishing and maintaining relevant procedures
Develop and streamline treasury processes and systems, including automation and improved internal controls
Support bank relationship management, credit facilities, and capital‑related matters together with the Accounting Director
Deliver clear reporting and analysis of liquidity, risk, and financial flows to Finance and management
Ensure accurate and efficient tax management and regulatory compliance in areas such as corporate tax, VAT, and international taxation
Develop and maintain routines and processes for tax‑related reporting
Take ownership of Transfer Pricing, including documentation, policy development, and ongoing follow‑up
Perform and quality‑assure tax calculations and reporting, including filings and reconciliations
Act as the primary point of contact for the Swedish Tax Agency, auditors, and external advisors
Support the Global Director Accounting and Finance in analyses related to capital structure, financing, and the tax implications of business decisions
Take responsibility for process improvements and standardization within the tax & treasury area
Collaborate closely with accounting, controlling, legal, and international subsidiaries
Work hands‑on in daily operations as needed
Requirements:
5+ years of experience in treasury, tax, or combined finance roles within international organizations
Strong understanding of liquidity planning, tax management, and financial analysis
Solid competence in direct and indirect taxation, preferably with experience from group structures and international operations
Comfortable working in a fast‑growing and evolving environment where you drive improvements and take ownership
Strong communication skills in both Swedish and English
Nice to have:
Experience working in NetSuite is considered an advantage