Group Treasury and Tax, part of Hydros corporate center in Oslo, is responsible for the companys treasury processes, tax, insurance and asset management. We are now hiring a Business Controller to join the Cash Management & Controlling department, which is responsible for the treasury system with internal bank, external cash pools and payment factory, controlling of financial items for the group.
This is an excellent opportunity to gain insight in the business of a global corporation, while applying your specialist competence in finance, controlling and accounting. You will work with a range of tasks in a visible role with many interfaces and the opportunity to contribute to the further development of Hydros financial policies and governance.
Area of responsibility
In this role, your responsibilities will include:
As a person, you should have a strong analytical and structured approach with a clear business orientation. You enjoy work both independently and in a team. You thrive in delivering high quality and contribute positively to the working environment around you by sharing your specialist competence and engagement.
In this role you will join a team of seven people with broad experience in treasury and finance, reporting to Head of Cash Management & Controlling.
Please enclose a motivational letter and copies of relevant academic transcripts, diplomas, certificates etc. Only applications received through our online system will be considered, not via e-mail. As part of our recruitment process, we use Semac for background check.
Apply before: 08/08/2021
If you have any questions, please contact:
Per Christian Lindgaard, Head of Cash Management and Controlling
Phone: (Norway +47) 97116113
Phone:(Norway +47) 98006451
Original source: Glassdoor Norway