
Cash Manager (m/w/d)
OX2
Virksomhedsoversigt
OX2
Stockholm, Sverige
2004
Forretningsmodel
Vedvarende Energi
Udvikling, finansiering og drift af vedvarende energiprojekter, herunder sol- og vindenergi.
Salgsindtægter fra energiproduktion og projektudvikling.
Lokationer & Geografi
OX2 opererer primært i Sverige, Finland, Norge, Danmark og Tyskland.
Virksomhedskultur
Deres mission er at fremme bæredygtig energi og reducere CO2-udledningen gennem innovative løsninger.
Deres arbejdsmiljø er præget af samarbejde, innovation og en stærk fokus på bæredygtighed.
De tilbyder løbende træning og udviklingsmuligheder for at støtte medarbejdernes karrierevækst.
Aktiviteter & Projekter
OX2 arbejder på flere store vindmølleparker og solenergiprojekter i Skandinavien og Centraleuropa.
De fokuserer på at udvikle nye teknologier til energilagring og effektiv energiproduktion.
Deres projekter er designet til at minimere miljøpåvirkningen og fremme bæredygtig udvikling.
Karrieremuligheder
Typiske jobåbninger inkluderer ingeniører, projektledere og specialister inden for vedvarende energi.
De tilbyder konkurrencedygtige lønninger, fleksible arbejdstider og muligheder for fjernarbejde.
Kontaktinformation
Sidst opdateret den 2025-04-22 | Rapporter et problem
At OX2, your work will make a lasting impact. We are committed to accelerating access to renewable energy, thereby powering the great shift toward a sustainable future. Join OX2 and be part of a team driving meaningful progress while advancing your career. Let’s power the great shift together.
Now we are looking for a Cash Manager to join the Treasury team in Stockholm. This is an exciting opportunity if you are looking for a role with both strategic and operational aspects of cash management across globally.
Cash Manager
As Cash Manager at OX2, you will take ownership of the group’s cash pool structures and ensure that our cash management processes are efficient, secure, and aligned with business needs. Furthermore, you will also manage relationships with banks on a national and international level and provide support to internal stakeholders across the organization. You will report to the Head of Treasury located at headquarters in Stockholm.
Responsibilities include but are not limited to:
- Managing the cash pool structures, including administration, accounting, interest and limit set-up, and cash position monitoring.
- Leading relationships with banking partners and managing bank accounts, including KYC processes and account closures.
- Maintaining daily banking operations, including payment support, internal loan administration, and month-end closing activities.
- Acting as a business partner to subsidiaries, ensuring compliance with OX2’s policies and standards.
- Supporting corporate due diligence documentation.
- Conduct cost follow-up and budgeting related to cash management services.
- Treasury Operations
- Balancing liquidity across currencies and accounts using systems
- Ensuring correct master data set-up in IFS and the Treasury system, and overseeing GL entries from intra-group loans and cash pools.
- Preparing and reporting weekly and monthly liquidity forecasts and variance analysis.
- Collaborating with Treasury, Finance, and Business Control to optimize daily cash positions.
- Preparing intra-group loan documentation and interest rate adjustments.
Who you are
We believe you are a highly skilled and advanced professional which makes you confident and capable of hitting the ground running. You are naturally structured and analytical with a strong sense of ownership and with a proactive mindset. You are comfortable working in a dynamic, international environment with changing conditions and thrive in building efficient processes that create clarity and value across the organization.
To succeed in this role, you must have:
- A bachelor’s degree in finance, Accounting, or a related field
- Solid experience with cash management, treasury operations with at least 5 years of experience in a relevant role (cash management, treasury, banking, or accounting) preferably from the renewable and/or energy sector.
- Solid understanding of cash pool structures, FX, Liquidity management, treasury operations, and payment processes
- Knowledge of operational AP processes
- Fluency in Swedish and English
- Strong analytical and problem-solving skills
- A flexible, humble, and self-driven approach
- Good understanding of compliance and fraud-prevention measures
- Experience working with ERP systems, preferably (IFS)
Why OX2?
Working at OX2 means being part of a purpose-driven company with ambitious goals and passionate colleagues.
If you are not already convinced, here are some more benefits of joining our mission to accelerate access to renewable energy. This is what we can offer you:
- A truly international company
- A knowledgeable team of experts and an energetic, fun workplace located at Lilla Nygatan 1, Gamla Stan, Stockholm.
- A competitive compensation and benefits package.
Recruitment Process
Apply today and join us in shaping the future of renewable energy. We review applications on an ongoing basis, so don’t hesitate to send in your application today. During the summer period we will continue to accept applications but there could be some delay in our response due to vacation.
Om rollen
30. juli 2025
Fuldtid
Virksomhed
30. juli 2025
På stedet
- Stockholm, Sverige
5+ years in cash management or treasury operations
UTC+01:00
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