TREASURY CONTROLLER
Nord Gas Solutions · Asker, Norway, Norway · onsite
TREASURY CONTROLLER
Take ownership of the daily treasury heartbeat of an international project business.
On-site in Asker, Norway
Ready to turn numbers into confident decisions? Nord Gas Solutions is looking for a proactive and curious Treasury Controller who wants broad responsibility, international exposure and room to learn. You will work close to the core of our financial operations, with hands-on ownership of cash, liquidity, payments, foreign exchange, banking relationships and treasury systems.
REPORTS TO- Head of Treasury
SCOPE- Norway, Sweden, Poland and UAE
SYSTEMS- SAP and TMS IFS target ERP
The opportunity
This is a broad, high-impact treasury role for someone who enjoys taking initiative, improving how things work and learning quickly. You will run the group’s daily treasury operations and act as deputy to the Head of Treasury. You will join an international project business delivering across Europe, the Middle East and Asia. The role brings cash, payments, FX, banks, treasury systems and service-provider oversight together in one position.
What you will own
FX and hedging execution- Execute hedge transactions, rollovers, realizations and new hedges within the mandate.
- Manage collateral accounts and margin calls under the group’s hedging agreements.
- Support the day-to-day management of foreign-exchange.
Cash and liquidity- Prepare and monitor the group’s daily cash position across all legal entities and the cash pool.
- Build and improve liquidity forecasts using receivables, payables and project cash flows, and follow forecast accuracy against actuals.
- Support subsidiary funding, intercompany loans, interest settlement and transfer-pricing inputs.
Payments and controls- Support bank channels, payment and statement file formats, and the controls surrounding the payment infrastructure.
- Administer the corporate card programme and help identify fraud and payment-error risks.
Banks, systems and governance- Be the day-to-day point of contact for the group’s banks,
- Maintain KYC, UBO, legal-entity identifier and bank-compliance records.
- Own the treasury management system and its data, while supporting the transition from SAP toward IFS.
- Draft and maintain treasury policies, authority limits and process documentation
Service-provider follow-up- Oversee the external accounting provider’s delivery for the asset-deal countries, including monthly payroll funding and month-end follow-up.
Who we are looking for
You are proactive, dependable and eager to learn. You enjoy combining precision with practical problem-solving, and you are comfortable taking responsibility in a role where timing, controls and attention to detail matter. You communicate clearly, collaborate well across functions and countries, and follow issues through to completion.
Your background- A degree in finance, economics or accounting.
- Two to four years of relevant experience in treasury, cash management or corporate banking, ideally in a group with several legal entities.
- Hands-on experience with daily cash positioning and liquidity forecasting, including project cash flows.
- Practical knowledge of FX instruments
- Experience with controlled payment execution and awareness of fraud and payment-error risks.
- Familiarity with KYC, UBO requirements, bank compliance, bank connectivity
- Strong Excel skills and fluent written and spoken English.
Experience that will help you stand out- Strong accounting foundation with solid knowledge of IFRS
- Cash pooling, intercompany lending, interest settlement or transfer-pricing inputs.
- Treasury policy writing, process documentation or control design.
- SAP, IFS, treasury management systems,
- Experience managing an outsourced accounting or payroll provider.
Do not tick every box?
If you have a solid finance foundation, a proactive mindset and the motivation to grow into a broad treasury role, we still encourage you to apply. Curiosity, ownership and learning agility matter to us.
Why join Nord Gas Solutions?- A rare opportunity to gain broad exposure across the full daily treasury remit.
- A visible role with real responsibility and close collaboration with the Head of Treasury.
- International scope across four legal entities and multiple banking relationships.
- The chance to improve systems, processes and controls as the company develops its standalone platform.
- A hands-on environment where initiative, collaboration and continuous learning are valued.
Ready to make an impact?
Apply through LinkedIn and tell us what motivates you about treasury, international finance and building reliable ways of working. We look forward to hearing how your experience, curiosity and drive could contribute to Nord Gas Solutions