Treasury Controller

 Group Treasury Analyst

Group Finance is the company's group function within economics and finance, with overall responsibility for consolidation and reporting to the owners. We design and manage the guidelines and work processes that lay the foundation for professional financial management in the company's legal entities. We work closely with and monitor the local finance departments in all the countries in which we operate.
We now have a temporary vacancy in the Treasury team as Group Treasury Analyst. As we are in continuous change and growth, there is possibility for permanent position. 
Main areas of responsibility:  
  • Administration of our European internal bank.
  • Group payables processes and analysis.
  • Liquidity forecast consolidation and monitoring.
  • Participate in the administration of our treasury system.
  • Group FX reporting and documentation.
  • Participate in analysis and reporting to Group management. 
  • Support and initiate digitalization and automation of processes.
  • Participate in projects and other tasks within the finance area. 

Education and personal requirements:
  • Relevant Bachelors or Master’s Degree.  
  • 1-3 years of relevant experience.
  • Strong excel and data analysis skills.
  • Good business understanding and focus on improvements.
  • Enjoy working with others and good interaction/communication skills.
  • Independent, self-motivated and proactive.
  • English as a working language (written and oral). 

Questions regarding the position may be directed to Finn-Einar Mæle, General Manager in FinnPersonal Search & Selection, phone +47 926 84 466 and/or email