Aug. 8 2021
Would you like to become part of a strong professional team in an international company? Do you possess the skill to take full responsibility for our Accounting Processes working closely together with Teams and Stakeholders, and do you pursue further personal and professional development? Then you could become our new Financial Controller.
An established company with consistent growth
Global Risk Management is a leading provider of hedging solutions to mitigate clients’ energy price risks and we combine our in-depth knowledge of the energy market, finance, and transport to guide and help our clients. We have been in the business for 15 years and have offices in Singapore, Houston, Copenhagen, Aarhus, and Middelfart. You will be situated in our office in Middelfart.
We have a collegiate commercial structure that accelerates decision-making and encourages knowledge exchange across our group. Our strong management and private ownership structure allow for flexibility in our strategy and work environment.
“We provide risk management through a total commitment to energy markets and our position within Bunker Holding Group. Through our deep derivatives, energy and trading knowledge we help clients create economic certainties. We want to promote cleaner energy markets and subscribe to Environmental, Sustainability and good Governance (ESG) principles. GRM is an employer of choice for those wishing to work in a stimulating, challenging and collaborative environment that believes in diversity of people and thought, and welcomes all equally, says CCO, Kevin O’Reilly .”
You will be part of the Backoffice/Finance Team and work closely together with other players such as the sales teams, Middle-Office team, and IT department. You will be responsible for the coordination of the monthly and yearly preparation of accounts internally and externally. Furthermore, you will play an important role in ensuring daily processes related to liquidity and credit management.
Further responsibilities will be:
- Coordinator of month-end accounts and reporting to Group Accounts
- Preparation of internal and external Reporting
- Liquidity management and planning
- Ad hoc analysis and development within Accounting, Finance, Liquidity, Tax, VAT
- Support and backup daily Team Processes of accounting, cash management, Client Statement preparation etc.
Strong professional and team-player skills with a proactive mindset
You hold a solid educational background within Accounting.
You possess the personal skill to take the role of being Responsible for all Accounting Processes and are also motivated to pursue further responsibility within the Finance Area.
You are naturally motivated by being part of a Team covering the whole value chain of our trading flow from onboarding of clients to financial reporting. Still, you also possess the ability to work independently and take great responsibility for your tasks. Furthermore, we imagine that you have:
- A background within Accounting, Audit or related
- Educational background HD-R, Cand.Merc., Cand.Merc. aud (perhaps on your way) or equivalent
- Experience within risk management would be considered an advantage
- Team player
- Solid English language
Apply now and be part of our journey
We are looking forward to hearing from you. In case you have questions about the position, please contact Torben Kampp Madsen, Head of Backoffice, email@example.com – or call +45 60373969. Please note that applications are handled on an ongoing basis. So, please send your application and CV as soon as possible.