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Legora is an AI-native legal workspace trusted by 1,000+ customers across 50+ countries, including top law firms like Cleary Gottlieb, Goodwin, and Linklaters. The company has scaled to $100M+ ARR and operates teams across Europe, North America, and APAC.
You will be the first hire on Legora's treasury team, reporting to the Senior Treasury Manager and serving as the treasury point of contact during European hours from the Stockholm headquarters. This is a hands-on role with significant ownership and growth potential as the function develops.
Key responsibilities include:
- Running daily cash positioning across Legora's bank accounts and monitoring liquidity needs for each entity
- Preparing and processing payments accurately and on time
- Supporting cash forecasting in partnership with FP&A and Accounting teams
- Acting as the operational point of contact for banking partners, especially local European banks, during European business hours
- Supporting bank account opening and maintenance as the company expands into new markets, including KYC and documentation
- Managing bank portal users and user groups
- Tracking and analyzing bank fees to identify cost-reduction opportunities
- Partnering with Accounting, AR, and AP teams on reconciliations, payment processing, and month-end close activities
- Supporting ERP and treasury technology initiatives
The role offers the opportunity to build treasury processes from the ground up at a high-growth, well-funded SaaS company with global operations.
REQUIREMENTS:
- 2+ years of experience in treasury, cash management, banking operations, or related finance role
- Hands-on experience with bank portals, payment processes, and cash reporting
- Strong Excel skills and comfort working with large datasets
- Detail-oriented and organized with strong sense of ownership and understanding of treasury workflows
- Clear communicator who works well with banks and cross-functional teams
NICE TO HAVE:
- Experience at high-growth, tech, or multi-entity international companies
- Exposure to Nordic or European banking, SEPA payments, and multi-currency cash management (SEK/EUR/USD)
- Experience with NetSuite and/or treasury management systems (TMS)
- Interest in automation and AI-enabled finance workflows