Treasury Manager - Cash Management Specialist at Sinch
Stockholm, , Sweden -
Full Time


Start Date

Immediate

Expiry Date

14 Aug, 26

Salary

0.0

Posted On

16 May, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Liquidity Management, Bank Account Administration, KYC Processes, Liquidity Forecasting, Bank Rationalization, Microsoft Excel, Treasury Management Systems, Cross-border Banking, Payment Architecture, Financial Controls, Multi-currency Management

Industry

IT Services and IT Consulting

Description
Sinch is pioneering the way the world communicates. More than 200,000 businesses — including Google, Uber, Paypal, Visa, Tinder, and many others — rely on Sinch’s Customer Communications Cloud to power engaging customer experiences through mobile messaging, voice, and email.   Whether you need to verify users or craft omnichannel campaigns, Sinch makes it easy. Our AI-infused Super Network, APIs, and applications ensure you can connect with your customers reliably and securely, at every step of their journey.   At Sinch we “Dream Big”, “Win Together”, “Keep it simple”, and “Make it Happen”. These values are our foundation!   Description We are currently looking for a Treasury Manager – Cash Management Specialist to join the Sinch Group Treasury team. You will become an integral part of our treasury operations, with a role providing exposure to a diverse range of activities with a focus on driving financial efficiency across the Group. The inherent complexity of Sinch's global operations creates a uniquely challenging and rewarding environment, offering ample opportunities for personal and professional growth within a department committed to enhancing our strategic capabilities and global reach.   Key Responsibilities: * Manage the Group’s centralized cash management structures to enable efficient global liquidity management, including optimizing cross-border liquidity and understanding the regulatory and compliance implications of global cash pools. * Act as the primary point of contact for banks and internal stakeholders regarding cash management and other banking-related matters. * Manage bank account administration, including account openings/closures, signatory management, and user access controls. * Coordinate KYC processes and maintain bank-related documentation across the Group. * Drive enhancements to treasury processes and systems, focusing on operational efficiency, automation, and strong internal controls. * Support liquidity forecasting and cash visibility initiatives across the Group. * Lead and participate in treasury-related and cross-functional projects, including bank integrations and process improvement initiatives.   Sinch Group Treasury team operates without silos; while this role specializes in Cash Management, you will work as part of a highly collaborative unit where knowledge sharing and mutual support across all treasury disciplines are standard. This approach ensures a holistic understanding of our global financial operations and provides you with opportunities to contribute to and learn from the broader treasury landscape.   The role reports to SINCH Group Treasurer and is based at Sinch HQ in Stockholm, Sweden, within the Corporate Finance function. It offers a hybrid working model with flexibility to combine office presence and remote work.    Requirements To be successful in the role, you are a proactive problem-solver who thrives in a fast-paced, international environment. You are comfortable navigating complex, cross-border banking landscapes and have proven experience from executing bank rationalization projects and managing relationships with global banking partners. You possess an analytical mindset with a focus on cost-optimization and a curiosity for the evolving landscape of global payment architecture.   We are seeking a candidate with proven experience within Cash Management, ideally within a corporate treasury, banking, fintech, or similar environment with exposure to financial transactions. We believe an ideal candidate should also have the following skills and background:   * Solid understanding of banking products, cash pooling structures, payment flows, and treasury controls. * Experience working in an international and multi-currency environment. * Comfortable working operationally while also driving improvements and projects. * Interest in payment efficiency, with the ability to analyze and optimize transaction fee structures (disbursements and collections). * Advanced proficiency in Microsoft Excel. * Familiarity with treasury platforms such as Treasury Systems (TMS) & CoProcess is considered an advantage.   Our corporate language is English, please submit your application in English.   At Sinch, we value learning, embrace change, and offer opportunities for personal and professional growth. Unfortunately, we are not supporting relocation at this time.   Applicants must: * Hold Swedish or EU/EEA citizenship. * Have a valid Swedish work permit.   Our hiring process We are committed to ensuring a recruitment process that is fair, objective, consistent, and inclusive. Our approach includes structured, competency-based interviews designed to evaluate your skills, experience, and qualifications relevant to the role. At times, we may include a data-driven assessment to enhance our hiring success and identify candidates likely to excel.    We believe in a two-way process and encourage you to ask questions throughout the journey.  If this role isn't what you're looking for, please explore the other opportunities listed on our career page: https://www.sinch.com/careers/ [https://eur03.safelinks.protection.outlook.com/?url=https://www.sinch.com/careers/&data=05|02|Martin.Grannen@sinch.com|91953d8549f24a66c93c08dcddb6f1fc|3b518aae89214a7b8497619d756ce20e|0|0|638629025025905624|Unknown|TWFpbGZsb3d8eyJWIjoiMC4wLjAwMDAiLCJQIjoiV2luMzIiLCJBTiI6Ik1haWwiLCJXVCI6Mn0=|0|||&sdata=ZZaRt1s71+p8ojRLPAKot+wjt6wyReK01M6JUXI3gFg=&reserved=0]. No matter who you are, we hope you find an exciting path forward - hopefully with us!
Responsibilities
Manage centralized cash management structures and global liquidity to drive financial efficiency across the Group. Act as the primary contact for banking partners and lead treasury-related process improvements and system enhancements.
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