Are you looking to join a dynamic, innovation-driven, international company, building a better future for us all? UPM leads the forest based bioindustry into a sustainable, innovation-driven, and exciting future. The competence, integrity and drive of our people make us unique. We live by our values – trust and be trusted, achieve together, renew with courage.
We are now looking for a Specialist, Treasury Accounting to join our Back Office team at UPM Treasury and Risk Management department in Helsinki. The employment is fixed-term for period from 9-10/2018 to 8-9/2020.
UPM Group Treasury in Helsinki is globally responsible for Liquidity, FX and IR risk management, Funding as well as for Cash Management and Internal Bank.
What you’ll do
Your main responsibility is in treasury accounting including monthly, interim and annual reports. Treasury Department takes care of the book-keeping of treasury transactions, e.g. derivatives and loans in treasury system, so in this role you will also
Who you are
This is what we offer for you
For more information, please contact Anu Tolvanen, Senior Manager, Treasury Accounting, tel. +358408675326 on 2nd August between 9-12 or 8th August between 13-16.
Please apply via the link above and attach your CV and cover letter latest 19th August 2018.
For support with submitting your application, please contact HR Service Center at email@example.com or +358204146600.
A security background check may be performed for those selected to UPM positions, in accordance with the company recruitment guidelines and the Security Clearance Act 726/2014.
UPM is a non-smoking workplace in Finland.