Employer Active
Job Alert
You will be updated with latest job alerts via emailJob Alert
You will be updated with latest job alerts via email$ 116880 - 141600
1 Vacancy
ATTENTION MILITARY AFFILIATED JOB SEEKERS- Our organization works with partner companies to source qualified talent for their open roles. The following position is available toVeterans Transitioning Military National Guard and Reserve Members Military Spouses Wounded Warriors and their Caregivers. If you have the required skill set education requirements and experience please click the submit button and follow the next steps. Unless specifically stated otherwise this role is On-Site at the location detailed in the job post.
Challenging. Meaningful. Life-changing. Those arent words that are usually associated with a job. But working at Bristol Myers Squibb is anything but usual. Here uniquely interesting work happens every day in every department. From optimizing a production line to the latest breakthroughs in cell therapy this is work that transforms the lives of patients and the careers of those who do it. Youll get the chance to grow and thrive through opportunities uncommon in scale and scope alongside high-achieving teams. Take your career farther than you thought possible.
Bristol Myers Squibb recognizes the importance of balance and flexibility in our work environment. We offer a wide variety of competitive benefits services and programs that provide our employees with the resources to pursue their goals both at work and in their personal lives.
Working within Corporate Treasury and reporting to the Director of Financial Risk Management the Senior Manager Financial Risk Management is responsible for the strategy and execution of the foreign exchange and interest rate hedging programs and will participate in various projects across the broader Treasury organization.
Major Responsibilities and Accountabilities:
Manage strategy for investing cash portfolio
Thorough understanding of investment and financial risk management policies.
Collaborate with cash management to ensure daily cash sufficiency.
Issue commercial paper as necessary to support the cash position.
Maintain and update counterparty exposure dashboard.
Recommend FX hedging strategies and execute trades on the 360T trading platform
Evaluate the effectiveness of FX hedging programs.
Aggregate and validate balance sheet FX exposure from SAP
Identify monthly P&L drivers.
Oversee and execute net investment and interest rate swap hedging strategies:
Monitor net asset capacity and implement net investment hedges.
Analyze yield curves and interest rate derivative maturity profile to make trade recommendations.
Provide periodic updates on hedge impacts to the companys P&L.
Ensure adherence to Dodd-Frank and other regulatory requirements.
Partner with technology teams for improvements and implementations.
Required Experience:
Senior Manager
Full Time