Treasury Manager - Cash Management

Atlas Copco • Full Time

Posted on Tue, Jun 23, 2026

Your role

As Treasury Manager - Cash Management at Atlas Copco Finance DAC, you will play a pivotal role in advancing the financial health and strategic objectives of the Atlas Copco Group. Your core responsibility is to ensure optimal liquidity management and innovative cash management practices across our global operations.

This position uniquely blends operational leadership with strategic vision. You will lead the design, implementation, and continuous improvement of cash management frameworks such as cash pooling and in-house banking structures to maximize efficiency and support scalable growth.

Key responsibilities include:

Reporting directly to the Treasury Operations Manager, you will have the opportunity to influence both day-to-day treasury functions and the long-term strategic direction of cash management within a dynamic multinational setting.

To succeed, you will need

We welcome applicants from diverse backgrounds and encourage you to apply even if you do not meet every listed criterion. Our ideal candidate demonstrates:

In return, we offer

Job location

This role features a hybrid working model, enabling you to combine remote work flexibility with the opportunity to collaborate on-site at our Atlas Copco Finance DAC offices located in Dublin City Centre or Stockholm. This setup supports both focused, independent work and dynamic team interaction.

Contact information

Talent Acquisition Team: Claire Corcoran-Brownen

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