Treasury Manager till Quant Service

Novare Interim & Recruitment

Are you a strategic, hands-on treasury professional who thrives in dynamic, international environments?
Quant Service is seeking an experienced Treasury Manager who combines strong analytical capabilities with solid commercial understanding. We are looking for someone who can navigate complexity, optimise global liquidity, and ensure financial governance and transparency effectively support the Group’s growth.

About Quant Service

Quant Service is a global leader in industrial maintenance and asset management, operating in approximately 20 countries across Europe, the Middle East, and the Americas. With decades of experience, we help customers improve safety, reliability, and productivity through data-driven solutions and world-class operational excellence.

As the Group grows, robust financial management, transparency, and disciplined governance are critical. At Quant, you will join an international organisation where professionalism, innovation, and accountability are central to success.

About the Role

As Treasury Manager, you will play a key role in managing the Group’s financial strength, liquidity, and external financial relationships. You will report to the Group CFO and work closely with senior management, business units, and external partners.

Your responsibilities include managing cash and funding, optimising working capital, and maintaining strong compliance and governance. The role combines strategic oversight with hands-on execution. You will drive process improvements, strengthen treasury governance, support investor communication, and contribute to decisions that align the Group’s financial strategy with its growth ambitions.

Key Responsibilities

  • Treasury Management – Oversee daily cash management, liquidity forecasting, and intercompany funding to ensure optimal use of Group resources.
  • Financing & Bank Relations – Manage relationships with multiple banks in different countries. Negotiate financing facilities and ensure covenant and documentation compliance.
  • Process Development & Governance – Develop and enhance treasury processes, policies, and controls for efficiency, consistency, and regulatory compliance.
  • Stakeholder Collaboration – Work closely with Group Finance, Compliance/Legal, and Business Units to support investment decisions, cash planning, and financial transparency.
  • Compliance & Administration – Maintain accurate records and agreements related to loans, guarantees, and financial instruments. Ensure adherence to internal and external requirements.
  • Systems & Reporting – Use MS Dynamics ERP, Power BI, Excel, and treasury tools for forecasting, reporting, and performance tracking. Drive automation and continuous improvement.
  • Working Capital Management – Partner with business units to analyse and optimise working capital cycles. Improve cash conversion and reduce funding needs.

Who Are We Looking For?
You are a seasoned finance or treasury professional with strong analytical skills and excellent judgement. You can manage complexity across multiple jurisdictions. You combine attention to detail with commercial awareness. You thrive in environments requiring both strategic thinking and hands-on execution.

You build strong relationships across teams and with external partners. You communicate clearly and contribute structure and insight in fast-moving, international contexts. You are proactive, solution-oriented, and confident in driving improvements that strengthen financial performance.

Requirements

  • University degree in Finance, Accounting, Economics, or a related field. Certifications such as CFA, ACT, or CPA are advantageous.
  • 5+ years of relevant experience in financial functions, treasury or corporate finance within an international, multi-entity organisation.
  • Proven ability to handle complex, multi-bank environments and cross-border funding structures.
  • Strong understanding of cash flow, working capital, and financing instruments.
  • Demonstrated success in improving treasury or finance processes.
  • Excellent organisational and administrative skills with high attention to detail.
  • Strong stakeholder management and relationship-building capabilities.
  • Proficiency in MS Dynamics ERP and financial modelling tools.
  • Excellent communication skills in English; additional European languages are an asset.

Welcome to Submit Your Application

For this recruitment, Quant is collaborating with Novare Interim & Recruitment.
If you have any questions, please contact 
elin.hansen@novare.se.