
Group Treasurer
Laerdal Medical AS
- Frist 15.8.2025
- Ansettelsesform Fast
We believe in making a difference. Do you?
Who are we?
Laerdal Medical is a world leader in healthcare education and resuscitation training that uses immersive technologies and data-centric insights to increase survival and improve healthcare quality. Our products and services are used by hospitals, ambulance services, first aid organizations, educational institutions, and others around the world. We are a dynamic and energetic organization consisting of people from a wide variety of cultures and backgrounds. Our goal is to help save one million more lives, every year, by 2030, and to do so sustainably.
About the role
The Group Treasurer manages the organization’s global financial assets, liabilities, and risk exposures and plays a critical part in ensuring optimal liquidity, overseeing the capital structure, and implementing strategies that support the company’s financial health and long-term growth.
Some of what you will be doing
This role provides analysis and advice, as well as running daily treasury operations and risk mitigation efforts. The responsibilities span:
Cash and liquidity management, including managing global cash flow and liquidity positions.
Foreign exchange and risk oversight. This includes identification and management of financial risks including currency, interest rates and commodity exposures as well as managing currency hedging mandate, plan rates for operational reporting, and intergroup currency risk sharing mechanisms.
Capital markets engagement such as managing relationships with banks, negotiating financing arrangements and credit facilities, as well as developing and executing capital raising strategies.
Treasury operations – manage treasury systems, banking platforms and payment processes in accordance with international treasury regulations and tax laws.
Subsidiaries' point of contact for legal matters, including dividends.
Planning, analysis and reporting
Drive and participate in strategic initiatives and provide services to other Laerdal companies
Insurance
Who we envision would fit the role
We are seeking a highly accomplished treasury professional, ideally with a Bachelor's degree in finance, Accounting, Economics, or a related field—though a Master’s or MBA would be a distinct advantage. You have more than five years of experience in corporate treasury within a multinational environment, demonstrating a robust understanding of international banking, capital markets, and financial instruments.
You are a strategic thinker and can provide insightful analysis and drive informed decision-making. You like to be in the details of daily operations and communicate effectively at all levels of the organization. The successful candidate will possess a keen attention to detail and an analytical mindset, thriving in environments that demand accuracy and foresight. Given our global footprint, the ability to work seamlessly across cultures and time zones is indispensable.
Some of what we can offer you
At Laerdal, you will get the opportunity to learn, develop, and innovate, and you will be a part of an international working environment where the possibility to make an impact is endless.
An interesting and important job contributing to our mission of helping save lives
A multicultural environment and collaboration with colleagues located around the world
A creative, diverse, and inclusive organization
A job in a company driving forward-thinking technology
Great opportunities for growth and personal development
Competitive salary, pension scheme, and insurance
An extensive welfare program with company benefits such as social and sports groups, company cabins, and more
For more information about the position, please reach out to CFO Trude Stav Haye at trude.stav.haye@laerdal.com.
To apply for the role please send us your CV and application letter through our application portal by 15.08.2025
We look forward to hearing from you!
Please note that we use Semac background checks in our recruitment process.
FerdigheterBeta
- Betjene finansielle instrumenter
- Cash/Liquidity Management (FI-FCSM-CLM)
- Dataanalyse og rapportering
- Finansforvaltning
- Kapitalmarked
- Prinsipper for styring og kontroll av risiko
- Relasjonsledelse bank
- Skatte- og avgiftsrett
Om arbeidsgiveren
- Sektor: Privat
- Sted: Tanke Svilandsgate 30, 4007 Stavanger
- Bransje: Medisinsk utstyr og rekvisita
- Stillingsfunksjon: Controller, Økonomistyring og budsjettering
- Arbeidsspråk: Engelsk
Nøkkelord
økonomi, forsikring
Annonseinformasjon
- FINN-kode 416420512
- Sist endret