Treasury Manager for a Key Role in a Leading Logistics Company
Treasury Manager for a Key Role in a Leading Logistics Company
- Location Brøndby
- Period Permanent Position
- Involvement Permanent Position
We are seeking a Treasury Manager for our client,
Link Logistics - a company in an exciting growth phase within a market characterized by constant development and increasing demands from both customers and suppliers. This key role requires a strategic mindset and deep treasury expertise, as you will be responsible for establishing and implementing a solid treasury strategy that supports Link Logistics’ financial objectives.
As Treasury Manager, you will act as a central sparring partner for the CFO and be responsible for developing, maintaining, and optimizing cash flow models, liquidity management, and financial forecasting. With a focus on both short- and long-term financial stability, you will ensure effective liquidity management that strengthens the company’s resilience and future readiness in a dynamic industry. The role requires a balance of strategic insight and hands-on execution, particularly in implementing treasury initiatives and projects.
Link Logistics operates internationally, and you will be responsible for monitoring and managing currency exposure and related financial risks across borders. You will work with a high degree of autonomy while collaborating closely with the CFO and other key functions to realize the company’s financial goals. The position offers a broad interface with frequent interaction with specialists and leaders across the organization.
Reporting Line
The position reports to
CFO Brian Petersen, with whom you will collaborate closely on developing and driving financial strategies.
Competency Profile
Personal Competencies
• Quick to understand complex business and financial challenges
• Ability to collaborate across business units and geographies
• Strong analytical mindset and structured approach to financial data
• High ethical standards and professional integrity
• Strong negotiation and stakeholder management skills
• Excellent communication skills in both Danish and English, written and spoken
• Ability to communicate effectively with both financial specialists and senior leadership
Professional Competencies
• Experience with treasury management, including capital structure, borrowing, and refinancing
• In-depth knowledge of liquidity management, financing, and currency risk management
• Ability to assess and report on financial status and future risks
• Knowledge of treasury management systems (TMS) and liquidity management tools
Background
You have experience within treasury management and have either previously been responsible for the area or are ready to take the next step into a strategic leadership role. You have a solid background from mid-sized or large finance functions or possibly from an audit firm. Experience from a
private equity-owned company is considered an advantage.
Contact
To be considered for this assignment, please click Apply now. We screen, evaluate and interview candidates on an ongoing basis.

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