Bedrift
Statkraft ASSøknadsfrist
09.02.2020Ansettelsesform
workTime.DayBransje
KraftproduksjonUtdanningskrav
PåkrevetArbeidserfaring
ØnskeligAdresse
, Oslo, Norway
Oslo
search.country.NORGEAntall stillinger
1karriere-kode
2422178Se her for andre jobber fra Statkraft AS
- Oppdatert 17.01.2020
Utgått annonse
Søknadsfristen for denne jobbmuligheten er passert
Statkraft AS
Senior Financial Controller in Group Treasury
Kraftproduksjon
Group Treasury shall ensure that Statkraft manages financial risk successfully. This is done by securing the future cash flow from our operations and by ensuring financial flexibility. Group Treasury has 35 employees in 5 departments. Back Office & Risk Control (TRB) is a department in the Treasury organization and counts 9 employees. TRB is responsible for:
- Ensuring that financial transactions are correctly registered into the Treasury Management System (CRM) and that the settlement of the transaction is conducted accurately and timely
- Booking, controlling and reporting of financial items in the Group’s internal and external financial reports
- Monitoring that Front Office is compliant with mandates and internal requirements. The result is being reported to the CFO
Your role:
- Prepare reporting of financial items to Group Accounting
- Present the group’s financial items for management
- Prepare cash flow statement for interest bearing debt, derivatives and other relevant items
- Prepare hedge accounting/reporting, including documentation and effectiveness testing
- Prepare notes related to financial items
- Assist in questions related to financial items in the Group
- Drive process improvements
- Contribute in EMIR and MAR tasks
- Ensure appropriate internal control performance
- Participate in ad-hoc projects
- Back up for Middle Office and other relevant TRB tasks
Your profile:
- Master or similar degree in finance and/or accounting
- Strong knowledge of financial markets and treasury operations
- Strong knowledge in accounting of financial instruments, both NGAAP and IFRS
- Strong knowledge and experience with IFRS 9 and 13
- Minimum 5 years of experience from position in corporate treasury and/or banks
- Extensive system knowledge and skills related to ERP-system, consolidation system, Excel/Power BI and Treasury management systems
- Knowledge about regulatory requirements such as for instance EMIR and MAR
- Fluency in Norwegian and English both written and spoken
- Proactive, dutiful, structured, analytical and self-driven
- Flexible and willing to contribute on several tasks within Treasury
- Able to handle tight deadlines and to work on several projects simultaneously
- Good collaboration and communication skills
Statkraft offers:
- Professional and personal development in an exciting company experiencing strong growth
- A positive working environment characterised by competence, responsibility and innovation
- A diverse workplace with regards to gender, age and cultural background
- Competitive terms of employment and excellent benefit schemes
Statkraft manages critical infrastructure and services in several countries. The applicant must be eligible for security clearance and authorisation.
The position reports to Vice President, Head of Back Office & Risk Control in Group Treasury. For more information of the position please contact Kjetil Haug-Nodeland on mobile +47 91 16 77 03
To apply, please submit your application, CV and diploma/transcript of records via www.statkraft.com; “Careers – Job vacancies” within 9 February 2020.
Bedrift
Statkraft ASSøknadsfrist
09.02.2020Ansettelsesform
workTime.DayBransje
KraftproduksjonUtdanningskrav
PåkrevetArbeidserfaring
ØnskeligAdresse
, Oslo, Norway
Oslo
search.country.NORGEAntall stillinger
1karriere-kode
2422178Se her for andre jobber fra Statkraft AS
- Oppdatert 17.01.2020