(Poistunut julkaisusta)

Risk Analyst
Finnair Oyj

Alkuperäinen julkaisupäivä 30.8.2018

We are now looking for a  


to be responsible for financial and funding analyses, risk control and treasury control, development and reporting. In the position, you will join our Treasury Operations team of three and report to the Head of Treasury Operations. 

Your main tasks will include: 

  • Aircraft and other fixed asset management (residual risk calculations, lease vs. buy analyses, receiving and maintaining aircraft and other fixed asset financing proposals)  
  • Capital structure, business restructuring and financial risk analysis.  
  • Competitor financial analysis and public market valuation measurement for management reports.   
  • Financial modelling for strategic projects such as acquisitions and disposals of businesses and valuations for benchmarking purposes. 
  • Secured and unsecured financing analysis, WACC analyses and competitor funding actions.  
  • Maintaining the portfolio of financing bids (non-fixed asset related), tracking capital markets movements and trends and reporting these regularly to the management.    
  • Leading the preparing process for treasury notes and related information for Finnair Group interim reports and financial statement in co-operation with Back Office, FBS and Group Accounting.  
  • Limiting control of hedge and counterparty exposures, hedge effectiveness testing and other various treasury controlling tasks.  
  • Acting as the main user of the treasury system. 

We are looking for someone with 1 – 2 years of experience and knowledge in accounting, IFRS standards and financial modelling. The ideal candidate has a development-minded, proactive personality, self-initiative and great teamwork skills. Coding skills will be considered an advantage as the person selected will be tasked with developing and automatizing the controlling process. 

To be considered for an interview, we expect you to have: 

  • Higher education or university degree applicable to the role.  
  • Working experience from similar tasks, for example within treasury / corporate finance or consultancy offices. 
  • Fluent oral and written English 
  • Expert knowledge in Excel. 

We offer you an exciting opportunity in the multifaceted, fast changing aviation and travel industry. This is a great time to join Finnair and contribute to our growth journey. Here at Finnair ambitious, competent and motivated people can really make a difference. 

Please submit your application, along with your CV, cover letter and salary expectation at Finnair.com/Jobs on Sunday, September 16 at latest. If you would like more information on the open position or Finnair Treasury Operations, please send your questions to jobs@finnair.com.