Treasury Director – Group Finance
Ready to take the lead on global treasury in a business where high volumes, multiple markets, and constant movement are part of everyday reality?
NTG – Nordic Transport Group is looking for an experienced and strategic Treasury Director who understands the financial dynamics of logistics - from high‑volume vendor payments to international FX exposure - and can implement a modern, scalable treasury set-up that supports our operational footprint and the company’s growth agenda.
What you’ll be stepping into
NTG is a global logistics company with activities in more than 26 countries, operating across road, air, and sea freight. Our everyday reality is fast-moving - and that’s exactly how we like it.
As a global player in freight forwarding, our business relies on strong liquidity, efficient working capital management, and a resilient banking infrastructure across markets.
In this role, you will be responsible for cash management, financing, banking relationships, and financial risk, while also driving automation and improving how treasury operates across the group.
You’ll step into a strategic role with a significant impact on the company’s financial strength, where you’ll work closely with Executive Management and contribute directly to key decisions.
At the same time, you’ll have the opportunity to shape and develop treasury processes and infrastructure, building a modern and scalable setup that supports the business as it grows.
You’ll collaborate with a strong global finance team as well as international banking partners, and operate in a dynamic, acquisitive environment with a steep learning curve.
Your key responsibilities
- Own global liquidity and ensure efficient daily cash management
- Manage credit facilities, including utilisation, covenants, and renewals
- Oversee bank accounts, cash pool structures, and KYC processes
- Create transparency on FX exposure and drive hedging strategies
- Execute FX transactions and manage financial risk across currencies
- Drive and optimise factoring and reverse factoring programmes
- Own debtor insurance, collections setup, and credit frameworks
- Manage financing administration and act as key contact for lender
- Support leverage forecasting, scenario analysis, and M&A financing
- Own global banking setup, relationships, and infrastructure optimisation
- Drive process improvements, automation, and implementation of new treasury solutions
What we’re looking for
You bring 6-8+ years of experience from corporate treasury, banking, or financial risk management, along with a strong understanding of how liquidity, financing, FX, and working capital actually support a business at scale.
You’re comfortable navigating FX risk and financial products, and you understand how to translate exposure into clear actions and decisions. Whether it’s executing hedging strategies, managing liquidity, or negotiating terms with banks, you take ownership and move things forward.
You don’t just maintain processes - you improve them. You’re curious, solution-oriented, and not afraid to challenge the way things are done. Whether it’s internal processes or senior stakeholders and external partners, you know how to push for better ways of working while building strong relationships.
You’ve worked in international, multi-entity setups where complexity is part of the job, and you thrive in a decentralised, fast-moving environment. Structure isn’t always given - but that doesn’t slow you down. You create clarity, take ownership, and ensure things move forward with a pragmatic, hands-on approach.
On the technical side, you have solid experience with cash management, financing instruments, FX risk, and treasury products. Experience with treasury systems, banking integrations, and automation tools is a strong plus.
You communicate confidently in English and are comfortable working internationally across cultures and markets.
Ready to take ownership of global treasury?
As NTG continues to grow, the complexity of our cash flows, financing, and financial infrastructure grows with it. We’re looking for someone who is ready to take ownership, challenge the status quo, and help build a treasury function that can support the business at scale.
If you’re motivated by real responsibility, enjoy working close to the business, and want to make a tangible impact on how a global company manages liquidity, risk, and financing - then this could be the right next step for you.
Send us your application and CV, and tell us why you’re the right fit for the role.
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