As a Manager in the Capital & Funding team within Klarna's Treasury business unit, you will play a pivotal role in shaping Klarna's capital, funding, and liquidity strategy. You will own the forecasting process and models across monthly reporting cycles and the long-term business plan, oversee ongoing monitoring of the capital and liquidity position, and manage key month-end book close activities. In addition, you will lead the stress testing that supports Klarna's Internal Capital and Liquidity Adequacy Assessment Process (ICLAAP) and Group Recovery Plan.
In this role, you will not only deliver robust analysis but also translate complex modeling into clear, actionable insights for senior management and regulators. You will combine analytical rigor with commercial awareness, ensuring that funding and capital decisions are directly linked to Klarna's financial and strategic objectives.
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