(Poistunut julkaisusta)

Treasury Specialist
Ramirent Oy

Alkuperäinen julkaisupäivä 3.9.2020
Smooth service and fun colleagues.

When people enjoy themselves, they produce good work. At Ramirent we believe in having a fun and great time at work. This is what makes our mission possible – to deliver Smooth Service with a Smile. Now we are looking to add even more smooth service to our team – are you the right person for us?

We are looking for a

Treasury Specialist

to strengthen the Group’s Treasury team at the Ramirent head office in Helsinki. The position is full-time to commence in October 2020 and is available for on a fixed-term basis until February 2022.

Group Treasury acts as a centralized Treasury function and internal service centre for the Ramirent Group. It manages the Group’s financial risk position, takes care of cash management, and ensures the Group’s liquidity and financing.
 

What we offer:

At Ramirent, we offer you a safe place to work for mind and body with great opportunities for individual learning and development. We encourage you to openly express your thoughts, ideas and take own initiatives in your everyday work and we offer you possibilities for a good work-life balance. At Ramirent we have good and competitive benefits. We also offer you a challenging and interesting position in a global company and the opportunity to further develop your professional skills.


Main tasks:
  • Preparing cash flow forecasts and management reports 
  • Monitoring and ensuring Treasury and Payment Factory payments processing
  • Managing cash management solutions and agreements with the banks
  • Monitoring and analysing the Group’s cash management costs
  • Performing bank account management including administration of internet banks with IT
  • Assisting in bank and parent company guarantee issuance
  • Managing the Group’s corporate credit card program
  • Monitoring and analysing Treasury accounting entries and performance
  • Monitoring Treasury operations compliance with governance policies 
 
Requirements:
  • Experience of Treasury or Accounts Payables function, preferably in an international environment
  • Knowledge of cash management, payment traffic and banking applications
  • Understanding of Treasury operations
  • A team player with good communication skills, flexible attitude and enthusiastic approach 
  • A Bachelor’s degree from a relevant field               
  • Fluent in both spoken and written English, knowledge of other languages is an asset

Contact information:

For further information, please contact Group Treasurer Petteri Järvinen, tel. +358 400 186 785. Please send your application including CV and salary request via recruitment portal by 14.9.2020.


Why join us? 
It’s more fun at Ramirent.