Dometic is a global leader in outdoor living solutions, providing essential gear for an adventurous lifestyle. We are on an exciting growth and transformation journey – now looking for our next star – a data driven and communicative Cash Manager to join the Headquarters in Solna Strand, Stockholm.
About the position
As a Cash Manager in the Treasury team, you will be involved in supporting and developing Dometic Group’s global liquidity structure and financial risk management framework. In this role, you will contribute directly to the Group’s overall financial stability by ensuring efficient cash pooling, accurate forecasting and a well‑functioning liquidity planning process. You will work in close collaboration with subsidiaries worldwide, act as a key point of expertise within Cash Management and play an integral role in strengthening the Group Treasury function through continuous improvement and digital development.
Your main responsibilities
Prepare, analyze and develop the Group’s liquidity management and payment processes to ensure optimal cash flow and financial stability
Deliver accurate cash forecasting to support strategic decision-making
Oversee cash management administration across the organization
Take full ownership of the netting process within the Group
Co‑ordinate the Dometic Global insurance program and related administration
Continuously provide training and guidance to subsidiaries on matters related to Cash Management in order to increase competence within the Group
Play an active role in efficiency improvement and digitalization initiatives to modernize and streamline treasury operations
Support in monthly reporting
What do we offer?
You are offered an exciting opportunity in a dynamic, fast‑paced, and global environment where you will play a key role in Dometic’s cash and liquidity management. This is a role where your ideas matter, your impact is visible, and your interest in digitalization and smarter ways of working is encouraged. J