Senior Treasury Specialist – Group Treasury
We are strengthening our Group Treasury with a Senior Treasury Specialist. We are looking for a person with a strong background in cash management. As we are a small team you will also have an opportunity to expand your competences by supporting the team members in other areas of Treasury like cash flow forecasting and liquidity management, interest rate and FX risk management, internal funding and Treasury reporting. You are also expected to drive Treasury’s development projects in the cash management area. You will be in active contact with both internal and external stakeholders like other support functions, subsidiaries, system providers and banks.
You will be based in in Sanomatalo in Helsinki. We hope you will be able to start immediately after the summer holidays.
We are looking for a person with
We expect you to have
We offer an opportunity to work in an international environment with contacts to Sanoma Group’s business units in five countries. We also offer challenging tasks and an opportunity to grow in a rapidly changing environment in one of the leading learning and media companies. Good corporate spirit and high employee satisfaction are important to us.
Interested? Fill out your application latest by Tuesday 18 June 2019. For further information, please contact Sirpa Louhevirta, Group Treasurer (firstname.lastname@example.org).
Sanoma is a front running learning and media company impacting the lives of millions every day. We enable teachers to excel at developing the talents of every child, provide consumers with engaging content, and offer unique marketing solutions to business partners.
With operations in Finland, the Netherlands, Poland, Belgium and Sweden, our net sales totalled EUR 1.3 billion and we employed more than 4,400 professionals in 2018. Sanoma shares are listed on Nasdaq Helsinki. More information is available at www.sanoma.com.