Kongsberg Maritime (KM) is embarking on an extraordinary journeypreparing for our independent listing on the Oslo Stock Exchange. As a global leader in maritime technology and solutions we are building on our legacy while shaping a bold agile future. We invite you to be part of our cash management team on this transformation as our Cash Management Analyst in Corporate Treasury.
KM Corporate Treasury is the hub for financial risk management liquidity planning and global cash operations. As a Cash Management Analyst youll play a key role in ensuring smooth day-to-day cash management while gaining exposure to international finance and treasury operations. This is the perfect opportunity for ambitious professionals looking to build a strong foundation for a future career in corporate finance or treasury leadership.
The position reports to the SVP Treasury in Kongsberg Maritime.
Control the daily liquidity and cash positioning across the company
Assist with internal and external funding transactions.
Support global cash pooling and payment processes.
Participate in maintaining the groups cash pools and associated documentation.
Contribute to establish and maintain the treasury management system.
Assist in cash flow forecasting and reporting.
Collaborate with regional finance teams tax and banking partners.
Establish periodic reports within the various fields of expertise within the Treasury function
Establish reports and forecasts perform ad-hoc analysis and establish decision support
Contribute to process improvements and digitalization initiatives.
Bachelors or Masters degree in finance economics or related field.
Interest in treasury cash management and financial instruments.
Relevant experience in banking or corporate treasury roles will be considered an asset.
Comfortable with digital tools and eager to learn new systems.
Who you are:
You bring strong analytical skills and a keen attention to detail enabling you to navigate complexity with confidence. You collaborate naturally with others and communicate clearly in English contributing to an open and effective team environment. With a curious mindset and a positive approach to change you adapt quickly and are motivated by continuous learning and improvement.
What We Offer
A Defining Career Move: Be part of a newly established treasury team at a company on the brink of public listinggain exposure across all treasury disciplines and shape KMs financial strategy from day one.
Global Impact: Work closely with executive management project controllers and external partners worldwide.
Flexibility: Choose your work location from any KM office in Norway with flexible work arrangements in place
Growth & Development: Access to learning career advancement and the chance to make your mark in a company that values innovation and continuous improvement.
Inclusive Culture: Join a people-focused collaborative environment that celebrates initiative and diversity.
Ready to Shape the Future
If youre excited by the prospect of joining a world-class team at a pivotal momentwhere your expertise will help KM thrive as a newly listed companywe want to hear from you.
Where you will be working
Kongsberg/Horten/Lysaker/Ålesund or other KM locations in Norway
Please mention the area you would like to work in your application
Interested in knowing more Contact
Morten Kristiansen
Cash Manager
Kongsberg Maritime is a technology pioneer enabling a more sustainable future for our oceans. Our zero-emission integrated technologies advance the maritime industry and solve our customers toughest problems. With unmatched competence domain knowledge innovation and market reach we are the trusted maritime partner. Headquartered in Kongsberg Norway the company has manufacturing sales and service facilities in 35 countries.
Join KMs Next Chapter: Cash Management Analyst Corporate Treasury
Kongsberg Maritime (KM) is embarking on an extraordinary journeypreparing for our independent listing on the Oslo Stock Exchange. As a global leader in maritime technology and solutions we are building on our legacy while shaping a bold agile future. We invite you to be part of our cash management team on this transformation as our Cash Management Analyst in Corporate Treasury.
KM Corporate Treasury is the hub for financial risk management liquidity planning and global cash operations. As a Cash Management Analyst youll play a key role in ensuring smooth day-to-day cash management while gaining exposure to international finance and treasury operations. This is the perfect opportunity for ambitious professionals looking to build a strong foundation for a future career in corporate finance or treasury leadership.
The position reports to the SVP Treasury in Kongsberg Maritime.
Control the daily liquidity and cash positioning across the company
Assist with internal and external funding transactions.
Support global cash pooling and payment processes.
Participate in maintaining the groups cash pools and associated documentation.
Contribute to establish and maintain the treasury management system.
Assist in cash flow forecasting and reporting.
Collaborate with regional finance teams tax and banking partners.
Establish periodic reports within the various fields of expertise within the Treasury function
Establish reports and forecasts perform ad-hoc analysis and establish decision support
Contribute to process improvements and digitalization initiatives.
Bachelors or Masters degree in finance economics or related field.
Interest in treasury cash management and financial instruments.
Relevant experience in banking or corporate treasury roles will be considered an asset.
Comfortable with digital tools and eager to learn new systems.
Who you are:
You bring strong analytical skills and a keen attention to detail enabling you to navigate complexity with confidence. You collaborate naturally with others and communicate clearly in English contributing to an open and effective team environment. With a curious mindset and a positive approach to change you adapt quickly and are motivated by continuous learning and improvement.
What We Offer
A Defining Career Move: Be part of a newly established treasury team at a company on the brink of public listinggain exposure across all treasury disciplines and shape KMs financial strategy from day one.
Global Impact: Work closely with executive management project controllers and external partners worldwide.
Flexibility: Choose your work location from any KM office in Norway with flexible work arrangements in place
Growth & Development: Access to learning career advancement and the chance to make your mark in a company that values innovation and continuous improvement.
Inclusive Culture: Join a people-focused collaborative environment that celebrates initiative and diversity.
Ready to Shape the Future
If youre excited by the prospect of joining a world-class team at a pivotal momentwhere your expertise will help KM thrive as a newly listed companywe want to hear from you.
Where you will be working
Kongsberg/Horten/Lysaker/Ålesund or other KM locations in Norway
Please mention the area you would like to work in your application
Interested in knowing more Contact
Morten Kristiansen
Cash Manager
Kongsberg Maritime is a technology pioneer enabling a more sustainable future for our oceans. Our zero-emission integrated technologies advance the maritime industry and solve our customers toughest problems. With unmatched competence domain knowledge innovation and market reach we are the trusted maritime partner. Headquartered in Kongsberg Norway the company has manufacturing sales and service facilities in 35 countries.
Required Experience:
IC
KONGSBERG is an international, knowledge-based group that supplies high-technology systems and solutions to customers engaged in the oil and gas industry, the merchant marine, and the defence and aerospace industries.