Treasury Controller, Group Finance (Liquidity & FX)
Kvadrat
Oslo
Hybrid
NOK 650,000 - 850,000
Full time
14 days+
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Benefits offered by this job
Opportunity to strengthen treasury competencies
Exposure to global liquidity management
Job summary
A leading design firm in Oslo is seeking an experienced Financial Controller to manage Group liquidity and cash management. In this hands-on role, the candidate will work with the global finance team and external banking partners while developing treasury competencies. Ideal candidates have a university education focused on finance and 2-5 years of relevant experience. The role offers hybrid work flexibility and the opportunity to be part of a dynamic Group Finance team.
Qualifications
2–5 years of experience as Financial Controller in an international company, audit, or bank.
Strong understanding of accounting and controlling.
Responsibilities
Manage Group liquidity and forecasting.
Support cash management and cash pool structures.
Handle monthly FX as part of Group closing process.
Maintain relationships with banks.
Contribute to treasury processes and policies.
Skills
Fluent in Danish
Fluent in English
Structured and analytical mindset
Quality driven in decisions
Comfortable working independently
Curious to develop within treasury
Education
University education focusing on finance
Job description
A leading design firm in Oslo is seeking an experienced Financial Controller to manage Group liquidity and cash management. In this hands-on role, the candidate will work with the global finance team and external banking partners while developing treasury competencies. Ideal candidates have a university education focused on finance and 2-5 years of relevant experience. The role offers hybrid work flexibility and the opportunity to be part of a dynamic Group Finance team.