Head of Treasury

Do you want to work in a fast-growing fintech company? Do you see yourself as a curious problem solver not shying away being hands-on if needed? Do you have senior experience from the bank treasury?
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Qliro is a fast growing fintech company serving over 2 million customers in the Nordic region. We are active in an exciting intersection of the e-commerce, payment, and financial services markets. We target both leading online merchants and millions of Nordic consumers seeking superior digital payments and consumer finance products. The company has 200 employees and are under the supervision of Swedish FSA.

We are now looking for a dedicated Head of Treasury to join and lead our Treasury team. 

Qliro’s Treasury team is a key part of the financial management and acts as the first line of defense in ensuring the company’s financial risks, capital and liquidity position. We offer you a great opportunity to join us in an exciting and rapidly changing industry, giving you the chance to grow and contribute within an expansive fintech company in a regulated market. This in a company that has as an outspoken ambition to be listed on the stock exchange. 

Your primary responsibility is to lead and develop the treasury function in the journey that Qliro is undertaking. In this role you will be a key player in developing the business from a capital and liquidity standpoint while having profitability in mind. You will work closely together with risk control, compliance and various risk owners within the organization.

What you’ll do:

You will develop and continuously improve the capital strategy and optimize its capital usage in short and long term. By that you will safeguard that adequate measures are taken to ensure capital levels are sufficient and in line with the appropriate risk appetite. You are responsible for capital planning, raising of capital on the market and associated regulatory reporting. You will take an active role in ICLAAP and recovery planning.

You will manage and continuously improve the funding strategy and liquidity risk management. Making sure that the company has adequate mix of funding both short and long term to support the company growth ambitions. This include among other things optimization of funding cost, develop existing and new funding sources and have a close dialogue with banks and other funding partners. You are responsible for liquidity planning, management of the liquidity portfolio and hedging of associated market risks.

The work involves management and board reporting, decision proposals and education.

The role will be based in Stockholm and you will report to CFO. 

We believe you have:

  • +10 years’ experience from Treasury and Finance
  • Experience from a leading position in a company undertaking activities that are subject to regulation of financial authorities
  • Deep understanding of the regulations surrounding a financial institution from a capital and liquidity standpoint

 

WOW in everything we do

As a team member, "a Qliroer," you will be offered to work in a dynamic and fast-paced fintech environment. We thrive on challenges, personal growth and we have a culture that emphasizes learning and development embracing our core values. We believe that through collaboration and our everyday curiosity, we feel empowered and can take accountability. Together we work hard to create a workplace that is diverse and inclusive. We strive to empower our people to manage their time and work effectively and, wherever possible. We promote flexible working hours to help you juggle your everyday life and love the work you do.

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Or, know someone who would be a perfect fit? Let them know!

Our values

We believe that through collaboration and our everyday curiosity, we feel empowered and can take accountability. Together we work hard to create a workplace that is diverse and inclusive.

 

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