As Senior Treasury Risk Manager you will play a critical role in managing the groups interest rate and foreign exchange (FX) risks. This includes developing and implementing risk mitigation strategies advising management on market developments and ensuring compliance with regulatory and accounting standards. You will act as a trusted business partner to group companies and contribute to the continuous improvement of treasury processes and systems.
- Interest Rate and FX Risk Management
- Responsibility for interest rate and FX risk including strategy development and implementation of hedging measures
- Provide management advice on macroeconomics currency interest rate and commodity markets
- Analyze markets risk positions and risk-reduction strategies for business units and group companies
- Manage and further develop interest rate and FX risk management for the group and its subsidiaries considering regulatory and tax implications
- Identify and manage interest rate and FX risks across the group
- Develop and implement FX hedging strategies for group exposure to reduce risks
- Monitor FX risk at the level of group companies
- Analyze financial markets and risk positions of the group and its subsidiaries
- Communicate with banks and counterparties regarding hedging strategies instruments and market developments
- Execute money market FX and interest rate transactions within the group to manage FX risk
- Manage framework agreements with banks for derivative transactions
- Act as an active business partner for group companies
- Integrate banks into trading platforms and the TMS and update standing instructions
- Support month-end and year-end closing activities with a focus on hedge accounting under IFRS for FX and interest rate derivatives
- Contribute to treasury finance or cross-functional projects
Qualifications :
- Degree in economics or a comparable qualification
- Extensive professional experience in an international company with similar responsibilities
- Several years of expertise and practical experience in FX management use of financial instruments and derivatives for hedging execution of hedging transactions (by phone and via trading platforms) and recording in Treasury Management Systems
- Experience with common TMS solutions (Kyriba is a plus)
- Understanding of functional interdependencies between accounting controlling and treasury
- Fluent in German and English both written and spoken
- Structured and independent working style with a willingness to take responsibility
- Strong team player with excellent communication and persuasion skills
- Strategic mindset
Applications from severely handicapped people are welcome.
Additional Information :
The well-being of our employees is important to us. Thats why we offer exciting career prospects and support you in achieving a good work-life balance with additional benefits such as:
- Training opportunities
- Mobile and flexible working models
- Sabbaticals
and much more...
Sounds interesting for you Click here to find out more.
#Jobdrehscheibe
Diversity Inclusion & Belonging are important to us and make our company strong and successful. We offer equal opportunities to everyone - regardless of age gender nationality cultural background disability religion ideology or sexual orientation.
Ready to drive with Continental Take the first step and fill in the online application.
Remote Work :
No
Employment Type :
Full-time
As Senior Treasury Risk Manager you will play a critical role in managing the groups interest rate and foreign exchange (FX) risks. This includes developing and implementing risk mitigation strategies advising management on market developments and ensuring compliance with regulatory and accounting s...
As Senior Treasury Risk Manager you will play a critical role in managing the groups interest rate and foreign exchange (FX) risks. This includes developing and implementing risk mitigation strategies advising management on market developments and ensuring compliance with regulatory and accounting standards. You will act as a trusted business partner to group companies and contribute to the continuous improvement of treasury processes and systems.
- Interest Rate and FX Risk Management
- Responsibility for interest rate and FX risk including strategy development and implementation of hedging measures
- Provide management advice on macroeconomics currency interest rate and commodity markets
- Analyze markets risk positions and risk-reduction strategies for business units and group companies
- Manage and further develop interest rate and FX risk management for the group and its subsidiaries considering regulatory and tax implications
- Identify and manage interest rate and FX risks across the group
- Develop and implement FX hedging strategies for group exposure to reduce risks
- Monitor FX risk at the level of group companies
- Analyze financial markets and risk positions of the group and its subsidiaries
- Communicate with banks and counterparties regarding hedging strategies instruments and market developments
- Execute money market FX and interest rate transactions within the group to manage FX risk
- Manage framework agreements with banks for derivative transactions
- Act as an active business partner for group companies
- Integrate banks into trading platforms and the TMS and update standing instructions
- Support month-end and year-end closing activities with a focus on hedge accounting under IFRS for FX and interest rate derivatives
- Contribute to treasury finance or cross-functional projects
Qualifications :
- Degree in economics or a comparable qualification
- Extensive professional experience in an international company with similar responsibilities
- Several years of expertise and practical experience in FX management use of financial instruments and derivatives for hedging execution of hedging transactions (by phone and via trading platforms) and recording in Treasury Management Systems
- Experience with common TMS solutions (Kyriba is a plus)
- Understanding of functional interdependencies between accounting controlling and treasury
- Fluent in German and English both written and spoken
- Structured and independent working style with a willingness to take responsibility
- Strong team player with excellent communication and persuasion skills
- Strategic mindset
Applications from severely handicapped people are welcome.
Additional Information :
The well-being of our employees is important to us. Thats why we offer exciting career prospects and support you in achieving a good work-life balance with additional benefits such as:
- Training opportunities
- Mobile and flexible working models
- Sabbaticals
and much more...
Sounds interesting for you Click here to find out more.
#Jobdrehscheibe
Diversity Inclusion & Belonging are important to us and make our company strong and successful. We offer equal opportunities to everyone - regardless of age gender nationality cultural background disability religion ideology or sexual orientation.
Ready to drive with Continental Take the first step and fill in the online application.
Remote Work :
No
Employment Type :
Full-time
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