The Head of Group Treasury role at Gotlandsbolaget is a new position that involves building up the function in collaboration with the CFO and other stakeholders. Responsibilities include developing financing strategy, managing capital structure, and ensuring liquidity for daily operations and strategic initiatives. This role involves working closely with finance and accounting teams, as well as subsidiaries, to implement capital structure, financing solutions, financial instruments, and liquidity planning to manage financial risks. The Head of Group Treasury will have both operational and strategic responsibilities within a small central organization, requiring a hands-on approach and close collaboration with the CFO, group management, and subsidiaries on central financing issues.The ideal candidate for this role will have a strong background in treasury management, with experience in developing financing strategies and managing financial risks. This position requires a combination of operational and strategic skills, as well as the ability to work closely with various stakeholders within the organization. The Head of Group Treasury will be responsible for conducting analyses, preparing decision-making documents, and representing Gotlandsbolaget in discussions with banks, credit institutions, and other financial counterparties. This role reports to the CFO and can be located at either the company's head office in Visby or the Stockholm office, with a continuous presence in Visby.