Fixed Income Trader - Treasury
Klarna, briefly
At Klarna, we're building an everyday finance network, helping over 120 million consumers across 26 countries save time and money, and worry less about their finances. Working here means taking on problems most companies never get to solve, and being hands-on enough that the interesting part of the work lands with you, not someone else — you'll build with AI, not watch it happen.
This is the stretch zone. Come find out what you're capable of.
About the role
Klarna's Treasury domain manages liquidity, funding, and market risk for a bank operating across 26 countries — decisions made here move real money and carry real regulatory weight. As an Analytics Manager within Liquidity & FX Operations, you'll manage Klarna's liquidity portfolio directly: running pre-trade analysis, executing transactions in debt securities, and evaluating outcomes after each trade to sharpen the next one.
You'll also work on the currency and interest rate risk side of the business, helping design and refine strategies that balance risk against return. Treasury at Klarna is still being built out into a scalable organization, so you'll work closely with stakeholders across Risk, Finance, and Trading, and get exposure to both global FX and fixed income markets as the team's scope grows.
What you'll do
• You'll manage Klarna's liquidity portfolio, running pre-trade analysis, executing transactions in debt securities, and evaluating each trade afterward to inform the next decision.
• You'll help design and refine strategies for managing currency and interest rate risk exposures, weighing risk against return on each call.
• You'll work closely with stakeholders across Risk, Finance, and Trading, turning your analysis into recommendations the wider Treasury domain can act on.
• You'll help build out Treasury's processes and tooling as the organization scales, rather than operating inside a fixed structure.
Who you are
• You've spent 4–10 years working in treasury, trading, or financial markets, with hands-on experience in fixed income instruments and liquidity management.
• You turn financial data into concrete, actionable recommendations rather than just reporting the numbers.
• You communicate clearly with stakeholders across functions, from Trading to Risk to Finance.
Bonus points for
• A university degree in Economics, Finance, Engineering, Science, Business, or a related field.
• Understanding of accounting principles and financial reporting.
• Proficiency in SQL and/or Python for data analysis, automation, and reporting.
• Familiarity with banking regulations and financial industry guidelines.
Things you should know before applying
• Working together: we value co-located teams; most teams currently meet in the office 2–3 days per week, and this varies by team and can change over time.
• Non-obvious backgrounds are welcome. Diversity of skills, perspectives and backgrounds is how we create, innovate, and disrupt like no other.
• Final compensation will be based on the candidate's qualifications, skills, and experience.
Please include a CV in English. Concrete beats comprehensive — what you built, what it did, what it cost.
Curious to learn more about Klarna and what it's like to work here? Explore our career site!