Treasury & Cash Management Specialist
Come change the financial wellbeing of millions together with us!
At Anyfin, we’re on a mission to enable financial wellness and responsible credit – and none of that works without a world-class treasury function. As our Treasury & Cash Management Specialist, you’ll play a central role in ensuring our capital is working efficiently, our financial risks are well managed, and our liquidity and funding operations are both smart and scalable.
This role combines hands-on execution with strategic development – perfect for someone who thrives on complexity, structure, and forward-looking challenges.
What you’ll be doing
You will collaborate closely with our Treasury Lead and internal stakeholders, taking ownership across four key domains: cash management, FX and liquidity liquidity management.
Cash Management & Banking Infrastructure
Handle daily payment flows, internal liquidity reporting and short-term forecasting
Maintain and develop strong banking relationships to support operational excellence
Evaluate and develop scalable cash management structures (e.g. cash pool)
Foreign Exchange & Hedging
Manage relationships with FX counterparties
Monitor FX exposure and ensure efficient handling of FX hedging instruments
Contribute to financial risk mitigation in alignment with internal policies
Liquidity Investments & Short-Term Risk Management
Monitor investment frameworks for liquidity placement
Execute short-term investments in permitted instruments
Perform LCR calculations and regular liquidity stress testing
Regulatory Reporting & Treasury Systems
Support in regulatory reporting
Collaborate in the preparation of the ICLAAP
Collaborate on strategic financial planning, including future issuance of AT1 instruments and interest rate derivative strategies
You’ll also work closely with the CFO, Finance, and Risk functions to ensure our financial foundation is both solid and scalable.
Who you are
You bring a mix of structured thinking, hands-on problem-solving, and genuine curiosity about financial systems. You know how to connect operational execution with long-term treasury strategy.
We believe you're a great fit if you have:
2–5 years of experience in treasury, financial markets, or cash management – preferably in a financial institution or fintech
Academic background in Finance, Economics, Engineering, or a related field
Strong skills in liquidity and FX management, regulatory understanding (LCR/COREP), and a high comfort level with financial instruments
Analytical mindset with the ability to work with financial data and translate it into action
Collaborative attitude, proactive mindset, and strong attention to detail
Fluency in English and Swedish
Bonus if you’ve worked with treasury systems, derivatives, or capital planning before!
What we offer
We believe work should be as fulfilling as it is impactful. Here’s what you can expect:
A high-impact role with responsibility across the full treasury spectrum
Opportunities to deepen your expertise in liquidity, FX, and financial regulation
Autonomy to shape and improve core processes and systems
Competitive compensation package
Centrally located office and extra time off on your birthday
A team of smart, driven and supportive colleagues who believe in doing things differently
This isn’t just another job – it’s your chance to shape how a modern fintech manages capital, risk, and opportunity. If you’re ready to make a real difference, click “Apply” below and let’s talk.
- Department
- Finance
- Locations
- HQ, Stockholm
About Anyfin
Anyfin is a fintech on a mission to simplify loan repayments and improve the financial well-being of millions. We help consumers reduce the costs of high-interest loans, and take control of their repayment plan.
Treasury & Cash Management Specialist
Come change the financial wellbeing of millions together with us!
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