08/21/2025 updated

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100 % available

Senior Treasury and Finance Professional

Atyra, Paraguay
Only remote
Master's Degree (2000) & Bachelor's Degree (1999) in Finance
Atyra, Paraguay
Only remote
Master's Degree (2000) & Bachelor's Degree (1999) in Finance

Profile attachments

CV Huhtilainen 2024.pdf

Cash ManagementCredit ManagementFinancesFinancial SystemsProject ManagementSAP ApplicationsSupply Chain ManagementTrade FinanceOracle Hyperion
Treasury Management Umfassende Erfahrung in treasury-bezogenen Aufgaben, einschließlich Cash Management, Finanzierung und Kreditversicherung.
Credit Risk Management Nachgewiesene Erfolgsbilanz im Kreditrisikomanagement, in der Richtlinienentwicklung und -implementierung über alle Konzerngesellschaften hinweg.
Project Management Starke Projektmanagementfähigkeiten, insbesondere bei der Implementierung von Treasury-bezogener Berichts- und Managementsoftware.
Supply Chain Finance Implementierung von Supply-Chain-Finance-Programmen mit Kunden und Factoring-Programmen zur Verbesserung des Umlaufvermögens.
Financial Systems Kenntnisse in verschiedenen Finanzsystemen, einschließlich SAP, Hyperion, Logica Twin, 360T und Prof. Schumann CAM.
Cash Forecasting Entwicklung und Implementierung von Cashflow-Prognosesystemen zur Verbesserung der Effizienz im Treasury-Bereich.
Trade Finance Erfahrung in der Verhandlung von Konditionen für Trade-Finance-Produkte mit Banken und im Management von Dokumentenakkreditiven.

Languages

GermanFluentFinnishNative speakerEnglishFluentRussianGoodSpanishBasic knowledge

Project history

Senior Treasurer, Group Treasury

Aurubis AG
Credit Risk Management & Credit Insurance, Factoring and Supply Chain Finance, Project Management including implementation of various financial systems.

Treasury Development Manager, Group Treasury

Luvata Oy
Development of cash management in the Group, implementation of cash forecasting systems, M&A transactions support, credit control, and funding agreements management.

Manager, Cash Management & Trade Finance in Group Treasury

Neste Corporation
Negotiation of credit lines for Trade Finance products, improvement of Group's cash management structure, involvement in M&A projects.

Various titles in the Group Treasury

Fortum Corporation
Responsibility for collateral and guarantee reporting, funding arrangements, internal funding assistance, currency flows and hedging management.

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