Treasury Manager
Maersk Tankers
Calling on Treasury Manager
At Maersk Tankers, we are experts in owning and operating tankers and gas carriers - through the energy transition. We are a global, evolving workplace where committed teams grow through opportunity, learning, and a shared pursuit for excellence.
Your opportunity to join the adventure
In Treasury, you will join a team of 2 talented and welcoming colleagues.
The Treasury Department has principal responsibility for cash management, foreign currency exchange hedging, interest rate risk management and maintaining financing for Maersk Tankers, a shipping services and solutions provider, which also owns a fleet of product tankers and has ten Very Large Ammonia Carriers under construction. The team consists of three full-time members; the Head of Treasury, this Treasury Manager position in Copenhagen and a Treasury Specialist located in Mumbai.
As Treasury Manager you will be an important business partner for our senior management and our various business activities, both in strategic decisions and daily operations. You will report to the Head of Treasury.
Responsibilities
- Effectively manage and optimize the company’s short- and long-term cash position
- Execute FX and IR hedging of the company’s FX and IR exposures in accordance with our Financial Policy
- Co-manage the overall debt portfolio e.g., syndicated loan facilities and lease structures
- Assist with evaluating new funding initiatives
- Support transactional execution of vessel Sale and Purchase activities
- Prepare and improve cash forecasts (including scenario planning) and reports to senior management
- Work with our Financial Controllers on hedge accounting of IR swaps as well as provide explanations on financial items
Are you part of the solution?
At Maersk Tankers, you can come as you are and be among people who will expand your horizon. As our new Treasury Manager, we do, however, expect that you can contribute with the following:
Ideally, you have 3-5 years of experience in finance or treasury, preferably in an international setting, and a Master’s degree in finance, economics, or a related field. We value a structured and analytical approach, strong relationship-building skills, and clear communication. If you enjoy solving challenges and working in a dynamic environment, we’d love to hear from you. Fluency in English is required.
Required technical skills
- Experience with cash management and short- and long-term cash forecasting
- Experience with operationally managing debt portfolios
- Experience with FX and IRS hedging execution and FX and IRS hedging execution, structures and policies
- Experienced/advanced user of Treasury Management Systems and Excel
- Understanding of Corporate Finance principles and their practical application
For further information about the role connect with Head of Treasury Line Helledi at [email protected].
About Maersk Tankers
Maersk Tankers and affiliated companies operate one of the largest tanker fleets in the world through direct ownership and commercial management solutions for shipowners. Our mission is to be experts in owning and operating tankers and gas carriers through the energy transition, building on a legacy that dates to 1928. Maersk Tankers employs approximately 300 people in Denmark, Singapore, India, UK and the U.S. and is domiciled in Copenhagen, Denmark. Maersk Tankers is part of A.P. Moller Group owned by A.P. Moller Holding.
Additional information is available at www.maersktankers.com
Location:
Copenhagen
This job posting is collected from company pages and is only shown as short resume. Read entire job ad here:

