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We are Hydro Rein, a leading provider of renewable energy solutions to help industries tackle climate change and reach net-zero.

The company is fully owned by Hydro, and our business model is based on agility and the ability to leverage Hydro’s 100+ years of renewable energy and industrial development.

We are currently developing a diversified portfolio of wind, solar and hydropower projects in Europe and Brazil.

Our team has the expertise to develop projects, services and solutions that make a difference for our clients and the societies they are part of.

Do you want to join the next phase of our green journey?

Treasury Analyst, Hydro Rein

We are now looking for a Treasury Analyst to join Hydro Rein’s Finance team. This is a great opportunity for a young professional to gain hands-on experience in a growing, international company!

 

We offer  

  • An opportunity to contribute to the day-to-day management of Rein’s treasury function.
  • A new position in a small team, allowing the right candidate to be closely involved in various treasury tasks across the organization and to grow their career through professional and personal development.
  • An international and dynamic team with highly motivated and competent colleagues in an ambitious “start-up” environment with the necessary support and financial back-up to succeed.
  • Be a part of the business for the future and an exciting journey!

 

Responsibilities 
You will participate in our day-to-day treasury operations, which includes maintaining systems and models related to liquidity/cash- and financial risk management. You’ll have both external contact with banks, auditors, service providers and others, and internal contact with our business, globally.

 

Main tasks: 

  • Assist in managing day-to-day liquidity.
  • Execute and follow up payments and invoicing.
  • Participate in short and mid-term cash flow forecasting and reporting.
  • Participate in maintaining Rein’s cash management infrastructure, including cash pool and related documentation.
  • Contribute to establishing and maintaining a group treasury system.
  • Handling of KYC and other related documentation towards Rein’s banks.
  • Contribute to treasury-related areas such as financial risk management, funding and trade finance.

 

Who are you? 
We believe you are at your best when you work with people in a collaborative setting, which is very much the case in Hydro Rein. 


You have strong problem-solving skills and are triggered by delivering results and meeting customer expectations, setting high standards while achieving set goals. 


As we are a growing company in a developing industry, we also think that you adapt and respond well to change, being open to new ideas and showing sensitivity to different cultures. 

 

Qualifications

  • Higher education, preferably a degree in Business Administration, Finance or other relevant fields.
  • One to three years of proven experience in cash management, preferably from a bank/financial institution or an international corporation.
  • Experience from working with treasury systems is an advantage.
  • Fluent in written and oral English.
  • Experience from, or interest in, the power/renewables industry a plus.

 

Additional information

You will report to Head of Treasury and Risk. The position is located at our offices in Oslo/Vækerø.

 

Do you not meet every single requirement? Studies have shown that women and minorities are less likely to apply to jobs unless they meet all qualification criteria. At Rein we are dedicated to building a diverse, inclusive, and authentic workplace, so if you are excited about this role but your experience does not align perfectly with every qualification requirement, we encourage you to apply anyway. You may be just the right candidate for this or other roles.

 

Please enclose a cover letter and copies of relevant academic transcripts, diplomas, certificates etc. Only applications received through our online system will be considered, not via e-mail. As part of our recruitment process, we use Semac for background checks.
 

Apply before: Sunday 10/01/2023 at midnight, CET

 

If you have any questions, please contact: 

 

Hiring manager
Gry Skorpen, Head of Treasury & Risk
Phone: (Norway +47) +47 99622145 

 

Recruiter
Astrid Skogen
Phone: (Norway +47) 98006451

Posted on:  Sep 8, 2023
Location: 

Oslo, NO, 0283

Department:  Treasury and Risk
Business Area:  Hydro Energy(ENER)
Job Type:  Permanent

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