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Trading Finance and Product Risk Controller
Norsk Hydro · Tolochenaz
Description du poste
About the role
The Trading Finance and Product Risk Controller will support Hydro's B&A Commercial team in managing finance activities across Swiss, Norwegian and Chinese entities. The role focuses on trading position monitoring, price exposure, mark‑to‑market analysis and financial reporting.
Key responsibilities
- Prepare regular trading position, price exposure and mark‑to‑market reports.
- Perform and oversee IFRS9 derivative accounting entries, ensuring compliance with accounting standards.
- Analyse fair‑value accounting requirements for specific trades and produce weekly deviation analyses.
- Support the Finance Manager with financial valuation of investment and commercial proposals.
- Assist in the preparation of statutory accounts and quarterly Board of Directors meetings for the HAISA legal entity.
- Contribute to monthly and quarterly closing processes, including balance‑sheet reconciliation, ICFR controls and data quality in HFM and SAP.
- Conduct standard and ad‑hoc financial analyses on realized prices, margins, exposures and working‑capital variations.
Required profile
- Finance professional with experience in trading finance and risk reporting.
- Strong knowledge of IFRS9 and derivative accounting.
- Proficiency in financial closing, balance‑sheet reconciliation and internal controls.
- Ability to work across multiple regions and interact with commercial and supply teams.
Required skills
- IFRS9 derivative accounting
- SAP financial modules
- Hyperion Financial Management (HFM)
- Financial analysis and reporting
- Balance‑sheet reconciliation
- Working‑capital monitoring
What we offer
- Competitive salary and comprehensive benefits package.
- Opportunities for professional growth with exposure to international teams.
- Dynamic, collaborative work environment within a diverse, small team.
- Culture that promotes employee wellbeing and continuous development.
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Norsk Hydro
Tolochenaz
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