Vår breda verksamhet gör att vi kan erbjuda livslånga karriärmöjligheter med olika inriktning inom varierande branscher, länder, företag och specialistområden. På Lantmännen slutar du aldrig lära dig nya saker.
Do you have broad experience from working with cash management and treasury and feel that you want to use your knowledge and expertise to make a real difference? Then we might have an interesting opportunity for you. Lantmännen is Sweden’s most sustainable brand according to the Sustainable Brand Index and we have a responsibility and an opportunity to influence development from seed to harvest, from the very sprout in the field, through the food on our tables, the feed to our livestock and climate smart biofuel on our roads. This is a unique opportunity for someone to join our Group Functions at Lantmännen as we are looking for a Head of Cash Management. Come work with us, heading for the future.
This is what you will do
In the role as Head of Cash Management you will be responsible to lead the cash management services for Lantmännen Group. Our group consists of several business areas and subsidiaries and your role is to strategically optimize cash management efficiency, working with developing the processes in cash management, liquidity concentration and working capital efficiency. You will work with evaluating, developing, and maintaining relationships with banks, both on a national and international level, managing our cash pools to optimize liquidity and set structures for secure payments. You will facilitate and advice in cash management issues in M&A projects and will be treasury’s working capital strategist.
As well as working with our external relationships with banks, an equally important part of your task is to work close to our internal stakeholders, our various subsidiaries, and Shared Service Centre within the Lantmännen Group. Our businesses are found in several countries and vary of size and business. You will act as a business partner, building relationships in supporting and advising these subsidiaries in cash management and bank related matters and making sure that they are working according to policies and standards. Through the close collaborations, you will get unique insights in plenty of our businesses, from agriculture, machinery, bioenergy to food and real estate.
Additionally, you will be part of exciting projects related to working capital and cash pools, requiring you to work with change management and in a cross-functional, international setting.
In this role, you will lead a team of two within cash management, but you will also be part of Group Treasury and Risk Management, consisting of 12 team members with different focus areas. The position is located at our global head office in Stockholm, and you will report to the Director Group Treasury & Risk Management.
This is what you need to succeed
You share our values - Openness, Holistic view, Drive - and our promise of taking responsibility from Field to Fork.
What we offer you
We are a large international group with diverse activities throughout the entire grain value chain –from the very sprout in the field to the food on our tables. With a wide range of businesses within food, agriculture, machinery, bioenergy and real estate, we offer career opportunities in every direction across industries, countries, companies and areas of expertise.
We hope so! As the screening process is ongoing, we kindly ask you to submit your application as soon as possible but no later than the 20th of February 2022. The recruitment process will include several interviews, psychometric tests and the final candidate will go through a background check through our external supplier, ToFindOut.
If you have any questions regarding the position or the recruitment process, please contact Julia Minges, Acting Talent Acquisition Manager at .
We look forward to hearing from you!
Business in mind & people at heart
A unique business range
Heading for the future
Ange nedan vart du önskar arbeta och glöm inte bort att ange din e-postadress!