#JID3-130798
al cash management transactions from different banking portals.
Assist with account opening, product or service documentation.
Settlement operations of fixed income, Derivatives and FX deals.
FX Management and Reporting.
Ensure compliance with Global Treasury internal control guidelines and policies; manage audit requests and implement process improvements.
Working on audit requests within own scope of responsibility.
Analysis and prepare reports related to FX risk management, cash management & bank access management in given timeframe.
Assist in resolution of audit queries and related activities at a global level.
Support on ad-hoc requests / projects from Global Treasury Operations.
Living Hitachi Energy's core values of safety and integrity, which means taking responsibility for your own actions while caring for your colleagues and the business.
Your Background
Bachelor's or Masters in Finance/Controlling Shared service center/HUB experience or fresh university graduate with Finance/controlling/treasury field of interest and study.
3 to 5 years of experience or relevant finance/controlling background.
Good spoken and written English skills (additional foreign languages used by key Hitachi Energy locations considered as an advantage).
Good discipline for financial, routine tasks and ability to learn new skills via tailored on the job training.
Knowledge of and familiarity with standard IS collaboration and communication tools (outlook, office365, CSS workflow tool) as well as good excel skills.
Proficiency in both spoken & written English language is required.
Apply now