Treasury Specialist: Cash, FX & Liquidity Forecasting

World Mining Equipment • espoo, uusimaa, Finland • Posted June 21, 2026

Location espoo, uusimaa
Job Type Full-time
Category Corporate Finance & Strategic Planning
Posted June 21, 2026
A global company in mining equipment is seeking a Treasury Specialist based in Espoo, Finland. The role involves managing daily Treasury Back Office activities, overseeing cash management and short-term liquidity forecasting, and executing payments and FX transactions. The ideal candidate will handle bank guarantees and Letters of Credit while maintaining Treasury systems and eBanking tools. This position requires close collaboration with the global Treasury team, Finance colleagues, and local subsidiaries.
#J-18808-Ljbffr

Interested in this role?

Click the button below to start your application.

Apply Now