Treasury Specialist, St1 Biokraft AB, Stockholm
Are you ready to make an impact—and take ownership of the treasury engine behind a billion-euro energy transition?
We usually respond within a day
A Powerful Partnership
St1 Biokraft is a joint venture between St1, HitecVision, and Aneo, combining deep expertise and resources to drive innovation in the biogas industry. Our ambition is to become the leading integrated biogas player in the Nordics and play a pivotal role in the energy transition. We cover the entire biogas value chain—from feedstock sourcing to production, distribution, and end-user sales—and have set ambitious goals: 3 TWh of biomethane production and 6 TWh of biomethane sales by 2030.
To reach these targets, we are investing more than EUR 1 billion across the Nordics. Several major growth projects are underway, positioning St1 Biokraft for rapid expansion.
Treasury Specialist, St1 Biokraft AB, Stockholm
As a Treasury Specialist, you will have a key role in the building and scale of our Treasury organization as the company grows—both organically and through acquisitions. The role is broad and hands-on, with emphasis on liquidity forecast, FX and interest rate risk, internal funding, financing activities, and payment flows. Over time, you will take full ownership of liquidity and Cash Management and become a key contributor to financing decisions. You will report to our Treasury Manager, and you will be based at WTC in Stockholm.
Your Key Responsibilities
- Forecast, monitor and analyse the liquidity, FX exposure, and interest rate risks.
- Prepare explicit decision-making materials for the Management and the owners.
- Help establish a cash pool structure and implement a Treasury Management system.
- Execute financial payments such as interest payments, M&A transactions and internal funding—including documentation.
- Carry out hedging activities, including follow up and reporting
- Manage day-to-day interactions with our financing and banking partners.
- Support financial analyses.
- Act as a business partner to project teams on funding and FX risk.
- Assist in the negotiation and administration of bank guarantees.
- Ensure compliance with the relevant policies and financing agreements including covenants.
- Assist in reporting and updating the company insurance programme.
- Drive continuous improvements of treasury processes and ways of working.
Your Profile
- 3–5 years’ experience in treasury, financing, risk management, or similar.
- Strong attention to details and the ability to ensure accuracy in a complex financial environment.
- Hands-on and structured; comfortable in a high-paced, scaling environment.
- Experience with treasury management systems and other IT tools is considered as an advantage
- Prior exposure towards corporate insurance programs is a plus.
- Understanding of compliance, financial risk policy, and bank agreements.
- Experience collaborating with banks—on financing, cash management, and hedging is valued.
- Degree in finance/economics (or equivalent).
- Fluency in English, written and spoken.
Our culture and Values
At St1 Biokraft, we are one team with one dream, working towards one result:
- Be Collaborative – we support each other, share knowledge and succeed together across sites, functions and countries
- Be Open – we are curious, transparent and eager to learn, embracing change and honest, constructive dialogue.
- Be Commercial – we think and act like entrepreneurs, making fast, fact-based decisions that balance risk and reward and drive sustainable growth.
- Be the Expert – we take ownership, stay close to our operations, and continuously build our capabilities to deliver high-quality in everything we do.
What We Offer
Joining St1 Biokraft means taking a front-row seat in one of the Nordics' fastest-growing energy companies. Here, Treasury, Financing, and M&A are not support functions—they are central to our growth journey. You’ll gain broad exposure to strategic initiatives and work closely with senior leadership and owners, directly contributing to decisions that shape the company’s future. As our Treasury Specialist, you’ll also take full ownership of liquidity forecasting and play a key role in developing a modern, scalable treasury platform that supports our ongoing expansion.
Practicalities
- Location: Stockholm (hybrid, ~3 days/week onsite).
- Start: Q1 2026.
Ready to Join Us?
Are you ready to make an impact—and take ownership of the treasury engine behind a billion-euro energy transition? Apply now and help to shape a modern treasury function that truly makes a difference. Please subscribe via our recruitment system (for data security reasons, we cannot accept applications by e-mail). For questions about the role, please contact Pernilla Borgström at +46 734-159855 or pernilla.borgstrom@st1biokraft.com.
Please note that we have chosen to manage this recruitment ourselves and kindly ask that recruitment agencies refrain from contacting us.
- Department
- Recruitments
- Role
- Economy & Finance
- Locations
- Stockholm
- Remote status
- Hybrid
Already working at SpottingMe AB?
Let’s recruit together and find your next colleague.