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Controller, FX Hedging

Wärtsilä · Helsinki

Hybridimid💰 4,150–5,050 EURFinance · ManufacturingJulkaistu 02.09.2026 klo 03.00

Taidot

fx hedginghedge accountingifrs 9sapfinancial reportingstakeholder managementanalytical skillsfinancial analysiscash flow management

Työn kuvaus

Tiivistelmä työpaikkailmoituksesta: You will support FX risk management, hedge accounting and financial reporting for Wärtsilä's Energy business as Controller, FX Hedging. The preferred location is Helsinki, Finland, with other locations considered and hybrid work available. Key duties include advising stakeholders, managing hedging transactions with Group Treasury, monitoring FX exposures and ensuring IFRS-compliant hedge accounting. Candidates should have a BSc/MSc in finance or a related field, at least three years' FX hedging and hedge accounting experience, IFRS 9 knowledge, SAP proficiency and strong stakeholder and analytical skills. Tämä tiivistelmä on luotu tekoälyn avulla. Wärtsilä is an innovative technology company known for being a forerunner in the Marine and Energy markets. Every day, we – Wärtsilians – put our hearts and minds into turning Wärtsilä's purpose of enabling sustainable societies through innovation in technology and services into reality. Our ultimate aim is to provide increased value to both our customers and society. New, game-changing ideas and continuous improvement have been part of our DNA since 1834. Together, we can create new business opportunities and a more sustainable future that we can all be proud of. We want to transition the world towards a decarbonised and sustainable future. By pushing the boundaries of engineering and technology, we can make it work. We are always on the lookout for future-oriented talent – want to join the ride? We are looking for a Controller, FX Hedging to join our Energy Global Business Support function. In this role, your main responsibility will be to support effective foreign exchange risk management, hedge accounting, and financial reporting across the Energy business. The preferred location for this position is Helsinki, Finland , but other locations can also be considered. We offer the possibility of hybrid work. Your role and responsibilities As a Controller, FX Hedging, you will provide expert guidance on foreign exchange risk management, hedging principles, hedge accounting, and related financial matters. You will work as a proactive and commercially minded business partner, supporting decision-making through high-quality financial insights and a fact-based approach. You will collaborate closely with stakeholders across the Energy business and Group Treasury to ensure effective FX exposure management, high-quality financial reporting, and efficient ways of working. In this position, you will report to the Team Lead, FX Hedging. Your work will focus on these responsibilities: Advising and training Energy business stakeholders on FX exposure management, hedging principles, hedge accounting, and related financial matters Supporting Sales, Project Management, Operations, Purchasing, Legal, and Subcontracting functions in managing foreign exchange risks throughout the project lifecycle Managing FX hedging transactions in cooperation with Group Treasury and in accordance with applicable policies and internal guidelines Monitoring, analysing, and reporting foreign currency positions and financial exposures Ensuring IFRS-compliant hedge accounting, including effectiveness testing, documentation, reconciliations, and internal and external reporting Preparing receivables reports, financial analyses, and management reporting to support cash flow management and business decision-making Developing hedging practices, financial controls, reporting methodologies, FX-related tools, and ways of working Participating in relevant development projects and maintaining effective collaboration with internal stakeholders To be able to succeed in the position, we expect you to have: B.Sc. or M.Sc. in Finance, Accounting, Economics, or another relevant field At least three years of relevant experience in FX hedging and hedge accounting Solid understanding of treasury-related activities, relevant accounting principles, and IFRS 9 Strong business and financial understanding, combined with an analytical and forward-looking mindset Ability to work proactively and independently, challenge conventional thinking, and take a fact-based approach Excellent communication and stakeholder management skills in a matrix organisation, including the ability to translate financial data into clear insights Understanding of contractual concepts and legal terminology Proficiency in SAP, reporting tools, CRM, and integrated information systems, together with an interest in RPA and AI Fluency in written and spoken English Why you and us? We at Wärtsilä believe in empowerment, ownership, and taking responsibility for our work. We support each other’s growth, and co-creation is the true basis of our innovation. We have the courage to see opportunities and take initiative. We are authentic and honest, and we strongly believe that by being your own true self, you can accomplish so much more. We don’t always get it right the first time, and if mistakes are made, we make sure to learn a
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