About this role
In this role you are responsible for
• Participate in daily operative work • Participate in development projects globally: including process workflow, quality, compliance and process development • Identifying and understanding the requirements and gaps in finance solutions and effectively conducting change management • Providing expertise and advice on accounting issues to stakeholders • Working closely with Business Finance and other stakeholders Cash Management team responsibilities
• Bank accounts management and related financial accounting and reporting. • Implementing Valmet Payment and Treasury policies • System set-up incl. master data and integrations • Bank accounts system administration • Daily bank Statement handling process • Inbound and outbound payment processing • Exchange rate validation process • Cash Forecasting incl. Balances monitoring • Period-end closing, valuations, reconciliations and balance sheet specifications To be successful in this role you have
• Expert in cash management • Knowledge of accounting principles and standards • Experience with tools such as Infor LN, M3 and Nomentia Cash Management • Bachelor’s degree in finance or accounting and/or a recognized accounting qualification • Previous working experience within financial accounting and reporting • Self-motivated drive to fulfil requirements and meet timelines and ability to roll up sleeves when working across teams and functions to influence action • Ability to identify critical topics and process issues where necessary • Excellent communication skills with ability to deliver complex messages in an effective way • Fluent in written and spoken English, competence in other languages is an advantage • Understanding of Valmet business model and way of working is an advantage. • Effective documentation and presentation skills • Ability to work well under pressure, identify critical topics and help keep others positive and motivated