AFRY is a European leader in engineering, design, and advisory services, with a global reach. We accelerate the transition towards a sustainable society. We are 19,000 devoted experts in infrastructure, industry, energy and digitalisation, creating sustainable solutions for generations to come.
Continuous learning of all our employees is critical for our ability to deliver on our business strategy. We need to develop the right skills and foster a culture of continuous learning to win in a complex and competitive market. We want to offer dynamic and proactive learning opportunities for our people to develop themselves.
Job Description
We are on behalf of AFRY searching for a dedicated and established Group Treasury Specialist. Group Treasury is responsible for the coordination and management of the AFRY Group’s financial activities and risks and consists of four team members. You will work in a well-knit team and work in a broad role spanning back-office tasks, accounting, reporting, KYC and more. Furthermore, Group Treasury will lead various development projects, i.e. bank relations, systems etc. where this position will play an integral part.
We are looking for a candidate with a post-secondary education in finance or equivalent and with a minimum of five years relevant experience. You are probably working in a corporate treasury function where you have experience in accounting and treasury operations. Furthermore you have the ability to work independently and collaboratively in a team-oriented environment. As much focus for this role will be to lead projects, we believe you are a good coordinator and have previous experience in participating in, and leading, development projects.
Main responsibilities
- Accounting of financial transactions
- Support in preparation of monthly financial statements and reporting
- Manage bank and corporate guarantees
- Financial payments and transactions and related administration
- Responsible for banking authorizations and bank administration together with our Cash Manager
- Management of cashpools, group netting, and liquidity forecasting
- Main KYC contact person towards banks
- Maintaining key processes and static data in the Treasury Management System
- Actively participate in improvement projects within the Group Treasury
As a person you have a good ability to collaborate and contribute to a team, at the same time you enjoy when you have responsibility and the opportunity to affect. Furthermore, we believe you are communicative, structured and flexible.
Furthermore, you are accurate, service-oriented and have a good analytical ability and through a curious mindset a willingness to learn and develop. AFRY works nationally and internationally, hence the role requires that you have very good ability to express yourself in speech and writing in English. Knowledge of Swedish or Finnish would be a plus. We take your personal qualities in great consideration. Our values, Brave, Devoted & Team player characterize how we see ourselves.
The position is a full-time, located at the headquarter in Solna, Sweden or in the office in Vantaa, Finland. You will report to the Group’s Head of Treasury.
AFRY is in this recruitment process collaborating with Future Value. For questions regarding the position, feel free to contact recruitment consultant Johannes Benedelle via mail, Johannes.benedelle@futurevalue.se or phone +46 76 492 12 98