Head of Treasury

at  Enersense Oyj

Helsinki, Etelä-Suomi, Finland -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate02 Oct, 2024Not Specified02 Jul, 2024N/AGood communication skillsNoNo
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Description:

Finance team at Enersense has a key role in driving sustainable business and securing our funding position and financial health. We are looking for a strong treasury leader who is accountable for money and financial risk management in our business focusing especially on cash management. You will be driving systemic level development across our operations together with your small treasury team. The vacant position preferably is in Helsinki or Pori, and you will be part of the Finance team, reporting to our new CFO Jyrki Paappa.
Role description

You are mastering the processes around cash and liquidity management in close cooperation with relevant stakeholders and colleagues from our Business Units, countries, and Group functions including:

  • Responsibility for cash management for daily operations and long-term planning
  • Overseeing cash and liquidity management and enforcing relevant planning practices to meet the conditions of funders
  • Managing treasury operations, relevant controls and risk mitigation concerning markets and working capital
  • Securing transparent and prompt reporting towards various stakeholders
  • Securing increased efficiency and value added through developing common ways of working
  • Key owner for systems and process development in your responsibility area
  • Participation in relevant company audits, development projects and providing proactive support to businesses and countries

For a colleague we would wish:

  • Broad experience of managing financial instruments in project business and understanding project business specialties
  • Cash and liquidity management experience in an international context
  • Demonstrated result orientation and drive in a leadership role combined with strong analytical and presentation skills
  • Ability and proven track record in driving process and systems development initiatives through a collaborative approach in a matrix
  • MSc in a relevant area and previous experience in similar positions in a stock listed company
  • Project management and change management skills as well as experience of working with the Board audit committee
  • Fluent Finnish and English language skills

This is an opportunity for a driven finance professional who is both able to see the big picture and take the lead in execution and practices development to reach the common targets. We hope you got interested in the challenge!
Please send your application latest by 22^nd of July, 2024. For additional information, you will have the opportunity to reach out to Risto Takkala, interim CFO, on 10^th of July at 2-3pm or alternatively on 18^th of July at 1-2pm at +358 45 127 4414.
For more information, please don’t hesitate to contact Terhi Uusimäki, Talent Acquisition Specialist, +358 40 569 5300, [email protected].
Jätä hakemus: https://ars2.equest.com/?response_id=b5c5a10aa115de867bd48ceb55a0865b
Työpaikan osoite: Helsinki
Työ alkaa: Työskentelyn aloitus sovitaan yhdessä
Työaika: Kokoaikatyö
Työn kesto: Toistaiseksi voimassa oleva
Hakuaika päättyy: 23.07.2024 13:16
Ilmoitus jätetty: 01.07.2024 17:08
Työmarkkinatorin ilmoitusnumero: 6c328c32-4800-4ad6-b233-ecf5dbbd2a74
Lähde: Työmarkkinatorin asiakastietojärjestelmä
.
Enersense Oyj
Helsinki
Uusimaa
Kokopäiväinen, Vakituinen
Julkaistu 01.07.202

Responsibilities:

Please refer the Job description for details


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Accounts Management

Graduate

Proficient

1

Helsinki, Finland