Klarna was founded in Stockholm, Sweden in 2005. Since then we've changed the banking industry forever. And now we're creating the world's smoothest shopping experience. We serve over 90 million consumers worldwide, & partner with 250,000 merchants - with a new merchant joining us every 8 minutes. Including some of the world's leading brands, such as H&M, ASOS, IKEA, Adidas, Samsung & Lufthansa. Our offices are spread over 17 different markets, hosted by 4000+ employees from 100+ nationalities.
Klarna's Treasury is responsible for providing Klarna with the right amount of funding & capital to grow at light speed at the same time as managing the liquidity & financial risks. To manage liquidity & financial risk we carry out daily transactions in the FX & fixed income market. We are also issuing bonds & commercial papers. We are now taking off to the next level adding more advanced financial instruments. We need you to enhance & develop our Cash Management function.
Cash management is an instrumental part of the daily operations of Klarna's Treasury function. We aim to efficiently distribute Klarna's funding, control cash flows, & enable efficient banking infrastructure. We provide innovative, reliable, & high quality cash management that enables a Smoooth accomplishment of Klarna's business goals whilst optimising banking cost from a balance sheet & P&L perspective.