Do you want to work in an international and dynamic environment where you can combine financial control with treasury-related processes?
WSP is looking for a Financial Controller with a focus on treasury to support the Nordic finance organization with reporting, analysis, follow-up, cash flow oversight, and internal controls. This role is ideal for someone who wants to work broadly within financial control while also contributing to treasury-related activities in a global company.
About the Role
In this role, you will work with financial controlling across the Nordic organization, with a specific focus on treasury-related reporting, liquidity follow-up, and cash flow processes. You will collaborate closely with colleagues in accounting, controlling, and treasury, contributing to accurate reporting, analysis, and continuous improvements.
Your key responsibilities will include:
- Prepare and analyze financial reports, forecasts, and follow-up for treasury-related and controlling processes
- Support cash flow reporting, liquidity follow-up, and short-term forecasting
- Participate in monthly closing activities, reconciliations, and treasury-related reporting
- Support budgeting, forecasting, and performance follow-up together with controlling and accounting teams
- Analyze variances, trends, and financial outcomes and prepare material for internal stakeholders and management
- Contribute to internal controls, compliance routines, and documentation of finance and treasury processes
- Drive or support process improvements within reporting, controlling, and treasury-related working methods
Who You Are
- University degree or post-secondary education in finance, accounting, economics, or a related field
- A few years of experience in financial controlling, accounting, treasury support, or a similar finance role is an advantage
- Strong interest in financial analysis, reporting, follow-up, and treasury-related processes
- Good knowledge of Excel and a willingness to learn new financial systems and tools
- Structured, analytical, and detail-oriented, with a proactive and collaborative mindset
- Strong communication skills in Swedish and English, both written and spoken
We Offer
- An opportunity to develop within financial control with a clear focus on treasury-related processes
- A varied role with broad exposure to reporting, analysis, follow-up, cash flow oversight, and finance processes
- Close collaboration with experienced colleagues in accounting, controlling, and treasury
- Development opportunities in a global company with strong local and Nordic collaboration
Location
The position is based in Stockholm and offers collaboration across the Nordic finance organization.
Application
We look forward to your application! Selection and interviews will take place on an ongoing basis. Due to the summer holiday season, our response time may be slightly longer than usual. We appreciate your patience. Recruitment agencies, CV databases, and advertising sales representatives are kindly requested not to contact us regarding this vacancy
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