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Corporate Finance Officer

JERA Nex bp · Leuven, Vlaams-Brabant, Belgium

AccountingImported listingfull-timeabout 13 hours ago

About The Role

Join us as we work to unlock the value of offshore wind! JERA Nex bp is a new joint venture between JERA, Japan’s largest power generation company, and bp, one of the world’s leading energy companies. Established to unlock the potential of offshore wind across the globe, our talented team, exciting pipeline and solid capital commitment give us the potential to become one of the world’s most successful offshore wind companies.

We entered the market with a portfolio of operational and development assets, alongside the resources, capabilities and resilience to deliver offshore wind energy at scale.

Why this role matters

We are looking for a highly motivated and detail-oriented Corporate Finance Officer to join our Treasury team.

This is a unique opportunity to become a key contributor to a centralized treasury function within an international renewable energy group. You will support the management of the group's cash, banking relationships, debt portfolio, guarantees, investments, treasury systems, and financial risk management activities.

The role combines hands-on treasury operations with continuous improvement initiatives, providing broad exposure to international treasury activities and close collaboration with Finance, Accounting, Tax, Legal, Project Finance, and external banking partners.

In this role you will resoinsible for

Cash Management & Banking

  • Manage the day-to-day operation of the group's international cash pool and in-house bank. Monitor liquidity, funding needs, and intercompany funding flows.
  • Coordinate bank account openings, KYC processes, and treasury set-up for new entities. Maintain banking mandates, signatories, user access rights, and e-banking administration.
  • Act as the first point of contact for operational banking matters and payment support.
  • Manage banking relationships and monitor compliance with financing agreements and covenants.

Risk Management

  • Support FX and interest rate risk management activities and hedging transactions.
  • Maintain hedge portfolio reporting and mark-to-market valuations.
  • Ensure compliance with treasury policies, controls, and regulatory requirements.

Debt Management & Treasury Operations

  • Manage debt administration for external financing, shareholder loans, and intercompany loans.
  • Maintain loan schedules, repayments, rate fixings, and treasury records in SAP.
  • Support refinancings, capital injections and other treasury financing projects.
  • Provide treasury support and advice to finance stakeholders.

Treasury Systems & Process Improvement

  • Maintain treasury data and processes within SAP S/4HANA.
  • Support treasury system enhancements, automation initiatives, and bank connectivity projects.
  • Drive continuous improvement of treasury processes and reporting.

Guarantees & Letters of Credit

  • Manage bank guarantees, parent company guarantees, and letters of credit. Maintain guarantee registers and related records in SAP and treasury reporting tools.
  • Coordinate issuances, renewals, amendments, transfers, and fee arrangements. Work with Tax, Legal, Accounting, and Project Finance teams to ensure compliance and maintain accurate records.

Investments & Stakeholder Management

  • Manage deposits and other short-term investments in line with treasury policy. Monitor investment performance and banking counterparty exposure.
  • Act as a treasury contact point across the organization and support treasury-related projects and initiatives.

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