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Samankaltaisia työpaikkoja

CASH MANAGEMENT SPECIALIST | TREASURY CONTROLLER

We are looking for a CASH MANAGEMENT SPECIALIST | TREASURY CONTROLLER  to join Elenia’s Treasury team in Helsinki or Tampere.

Are you interested in working in a modern and innovative energy company with an investment grade credit rating and a €3bn bond programme backed by leading global infrastructure investors? We are looking for a person to a role that offers a uniquely versatile range of responsibilities in cash management. Interested? Keep on reading.

What you will do

The Cash Management Specialist / Treasury Controller will be responsible for managing Elenia Group’s liquidity and group account structure, as well as reporting and payment traffic with regards to external debt and financing facilities amounting to approx. €2.0bn and €0.6bn respectively. You will play a key role in interacting with senior management and representatives of the owners, as well as external partners such as banks, auditors and service providers.

We expect you to have experience from both cash management and accounting, with familiarity of financing documents considered a bonus. In order to be successful in the position you should be self-directed and have an active and development-oriented approach to working. You would join Elenia’s compact Treasury team located in central Helsinki and co-operate with the Finance team located in the company headquarter in Tampere. Elenia offers flexibility with respect to working remotely, however, a primary workplace in Tampere would require commuting to Helsinki on a weekly basis.

Key responsibilities are:

  • Group liquidity management and forecasting
  • Managing the group’s account structure
  • Payment transactions to lenders
  • Book-keeping of financing items (FAS and IFRS)
  • Internal and external reporting of financing items 
  • Main user of the Treasury Management System
  • Developing processes and reporting within treasury

Our ideal candidate has:

  • Analytical skills with knowledge of accounting 
  • Capability to manage multiple tasks with attention to detail
  • Strong collaboration and networking skills
  • Good written and verbal communication (English and Finnish)
  • Experience in Treasury Management Systems
  • A relevant degree from University or University of Applied Sciences 
  • Relevant cash management work experience of at least 2-5 years within e.g. treasury operations, banking or consulting

Interested? We are eager to hear from you!

We offer a position in an open working environment with supportive and friendly colleagues. If you feel you are the right talent for this role, please send your application with a salary request and an informative CV in English through the provided link no later than 10th October 2021

For further information reach out to Head of Treasury, Mikael Kovero at +358 40 1587 203 on 30th September between 10:00am and 11:00am or 5th October between 1:00pm and 2:00pm. 

Apply between 22 September 2021 and 10 October 2021 23:59 (Europe/Helsinki)

Elenia

Elenia is the second largest electricity distribution company in Finland with operations in over 100 municipalities. This year, too, we will support Finland's growth by investing over EUR 150 million in the construction of our smart grids. We work on modern systems to ensure the daily lives of millions of people in our area and our customers. We have entered a new area that provides society and our customer with services together with our partner networks. Elenia offers the prospective employee the opportunity to become a leading expert in the industry in a greatly renewed and knowledgeable work community. We invest in well-being and we are a smoke- and intoxicant-free workplace.

Haluatko suosituksia samankaltaisista työpaikoista sähköpostitse?Tilaa hakuvahti
Haluatko suosituksia samankaltaisista työpaikoista sähköpostitse?Tilaa hakuvahti