We are now looking for an experienced Treasury Controller to join our Corporate Treasury team. Your main responsibilities will include participation in monthly and quarterly closings and you will have active role in developing treasury reporting. You will be working closely with Treasury front, middle and back office, group accounting, shared service center and various other internal stakeholders in Fortum. Treasury Controller reports to Head of treasury operations and control.
We offer you
This is the start of your meaningful career journey at Fortum. We offer an interesting and challenging global environment for a treasury professional, as well as opportunities to further develop your professional skills and capabilities. Working cross-functionally and globally with various teams, industries and businesses will also provide you an extended personal network.
The location for this position is at Fortum Headquarters in Espoo.
To succeed in this role, you should have a Bachelor’s or Master’s degree in finance or accounting or alternatively degree in other relevant field. You should have at least five years relevant work experience in treasury, finance or accounting environment. Excellent Excel and Power point skills are needed in this role and we expect you to be an advanced HFM user. Experience from TWIN treasury system is an advantage.
You have fluent communication skills in English, German skills can be seen as an asset. You are analytical and you have the ability to work in a structured manner and handle multiple tasks simultaneously, sometimes in a stressful environment with tight deadlines. You should also have development oriented mindset to identify possible development needs and willingness to take an active role in development work itself.
We expect you to have experience from a global working environment and you have good understanding of various treasury instruments and accounting treatment of those.
Please send your application together with your CV and salary request via our online recruitment tool by 10th June 2020 at the latest. For more information please contact Head of treasury operations and control Mikko Myyrä, e-mail firstname.lastname@example.org, phone +358 40 737 9153. Calls on Wednesday 3.6. at 10-11 and on Monday 8.6. at 13-14