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Dentsply Sirona Treasury Controller - Mölndal, Sweden in Molndal, Sweden

Dentsply Sirona is the world’s largest manufacturer of professional dental products and technologies, with a 130-year history of innovation and service to the dental industry and patients worldwide. Dentsply Sirona develops, manufactures, and markets a comprehensive solutions offering including dental and oral health products as well as other consumable medical devices under a strong portfolio of world class brands. Dentsply Sirona’s products provide innovative, high-quality and effective solutions to advance patient care and deliver better and safer dentistry. Dentsply Sirona’s global headquarters is located in Charlotte, North Carolina, USA. The company’s shares are listed in the United States on NASDAQ under the symbol XRAY.

Bringing out the best in people

As advanced as dentistry is today, we are dedicated to making it even better. Our people have a passion for innovation and are committed to applying it to improve dental care. We live and breathe high performance, working as one global team, bringing out the best in each other for the benefit of dental patients, and the professionals who serve them. If you want to grow and develop as a part of a team that is shaping an industry, then we’re looking for the best to join us.

Treasury Controller

Would you like to become part of an international company with many development opportunities? In this role, you will have the opportunity to influence while becoming part of a fun and committed team?

We are looking for a Treasury Controller with an eye for details, an interest in analysis and a passion for what we stand for. We are a company where you can make a real difference with our innovative solutions that provide patients with high quality products.

You have previous experience from complex business environments and Treasury tasks. Most likely, you have worked at a bank or similar experience from a Treasury department in an international company. We will have complex accounting projects ahead of us that we want you to be part of and make a difference.

Responsibilities:

  • Handling of manual payments, internal loans, posting of cash transactions, file payments.

  • Establish cash forecasts and currency requirements.

  • Responsible for payment processes.

  • Responsible for reconciliation of intra-group balances.

  • Administer the company's Nordic cash pool.

  • Cash management.

  • The company's bank contact, managing banking issues, agreements, powers of attorney, account management, etc.

  • The company's contact with Corporate Treasury.

  • Perform monthly close activities e.g. reconciliation of balance sheet accounts, FX revaluation.

  • Conduct SOX controls within Treasury area.

Who you are?

As a person, you need to be collaborative, flexible and curious. The role requires a great deal of responsibility, a desire to get things right and a proactive approach. You need to thrive in a self-motivated role but also be team focused. Building relationships comes naturally to you with a strong communicative and interpersonal skills.

Background / Qualifications

  • University degree in Finance or equivalent.

  • 5 years of qualified work experience.

  • Banking experience or experience from working independently with companies in international groups, preferably linked to cash flow, cash pool, currency and cash management.

  • Experience with SOX/internal control structures.

  • Proficient in accounting, financial transactions, bank account management; drive development projects within your areas.

  • Good IT skills from larger business systems, preferably M3, SAP or similar, and reporting in consolidation system as HFM.

  • Fluent in speech and writing in both Swedish and English.

We evaluate applications on an ongoing basis, so please submit your CV as soon as possible.

We look forward to hearing from you.

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