OBS! Ansökningsperioden för denna annonsen har
passerat.
Arbetsbeskrivning
Do you want to lead a high performing team with a Group perspective on financial risk?
We are now looking for our Head of Control & Compliance to lead a team of 7 professionals.
What we do
The Group Treasury mission is to secure the Group’s payment capability and proactively manage financial risks. Responsibilities include Group funding, liquidity management, FX operations, Group capital structure, rating analysis, financial infrastructure, adherence to Volvo Group Financial Risk Policy and other external regulatory requirements in the scope of Volvo Group Treasury responsibilities.
Control & Compliance have the responsibility to measure, analyse and report on Group and Treasury financial risks and performance. The team is also responsible for the Volvo Group Rating analysis, business control activities, and is the operational owner of the Treasury operating system. Additionally, the responsibility for the Groups compliance towards financial regulatory frameworks resides in the function.
How we do it
Group Treasury is a global function within Group Finance. We support the Volvo Group in all countries where it is needed, with offices in Gothenburg, Singapore, Beijing, Greensboro and Curitiba.
We strive to deliver world class PERFORMANCE both hard and soft, and to earn TRUST from colleagues and stakeholders. CUSTOMER SUCCESS is guiding us in our decisions. We have fun at work, PASSION for what we do, and we CHANGE to stay ahead by continuously improving every day.
What we offer you
We offer an interesting and challenging position in a global and changing environment. You will have the opportunity to lead a team of skilled professionals in a company with high pace and multifaced responsibilities, supporting the Groups ambition to reach our Vision 2030.
In this position, you are reporting directly to the SVP Group Treasury & Corporate Finance.
Who we are looking for
You are a team player with a strong ability to motivate others and drive for results. You have an open and collaborative attitude with high level of integrity and credibility. You embrace change and are solution oriented with a continuous improvement mind-set. You have an interest in financial products and markets. You apply analytical thinking and business control approach. You get things done!
Critical Qualifications
University degree in finance, economics, or equivalent
Several years of leadership experience from a similar position
Excellent ability to motivate others and drive for results
Strong analytical skills
Team player with good communication and interpersonal skills
Interest in financial products and solutions
Fluent, verbal as well as written, in the English language
Meriting Qualifications
Experience from either Treasury, Business control, Financial services industry
An understanding of the changing regulatory landscape within the financial industry
Previous knowledge of Wall Street Suite, SAP or similar ERP/consolidation system
The position is based in Gothenburg.
For further information, please contact:
Frederik Ljungdahl, SVP Group Treasury & Corporate Finance, phone: +46 76 111 3412
Last application date 2021-10-03