2018-06-20

Treasury and Financial Risk Manager
Job Opportunity at Human Capital Resource, LLC.

Posted on Jun 20

http://www.humancapitalresource.com    203-913-3225

Location: Norwalk, CT
Job Type: Full Time
Job ID: W4162181

Treasury and Financial Risk Manager  
 

POSITION SUMMARY:
 
Reporting to the Senior Director, Global Treasury Operations; the Treasury & Foreign Exchange Risk Manager role has significant leadership accountability and change management responsibilities for the Platform treasury team. This role will play an important role in supporting Platform’s strategy through bringing forward thinking ideas and solutions to areas including the company’s currency risk and global hedging programs. This person will be responsible for designing and implementing world class strategies and processes for treasury function.
 
The candidate we seek will bring relevant Treasury experience in a fast-paced business environment. The candidate must have experience working in a global treasury organization, knowledge in both technical and operational aspects of treasury. This position will work closely with counterparts in areas such as controller’s group, financial planning and analysis, tax, legal, internal audits, representatives of financial institutions, etc.
 
 
Essential duties & Responsibilities: 
  • Support regional and global treasury priorities including cash management, intercompany transactions, cash flow forecasting and bank account management with a focus on Latin America
  • Manage tracking and analysis of all foreign exchange (FX) and commodity exposures and global risk mitigation strategies
  • Collaborate across regional treasury & finance teams to develop risk management models
  • Create, maintain and deliver hedge performance against business and market conditions and report to management each period
  • Evaluate foreign exchange and commodity hedge and intercompany loan requests from business unit operations, consult with operations on those requests when appropriate
  • Execute hedges according to corporate policy
  • Coordinate monthly risk management committee meetings
  • Prepare and analyze monthly fair market value of derivative positions for accounting purposes
  • Assist with compliance related activities such as sourcing, compliance, SOX, & audit
  • Monitor and manage bank counterparty credit exposures 
  • Ad-hoc treasury-related projects, as required
 
REQUIRED SKILLS/EXPERIENCE:
  • Bachelor's degree required. Master’s Degree preferred
  • Five to seven years of complex treasury operations experience, including significant experience with risk management operations for a global organization
  • Experience with bank and third party foreign exchange systems and corporate ERP and/or treasury management systems including Bloomberg & FXAll
  • Prefer relevant experience from a global or multinational corporation with many overseas locations, e.g. Europe, Asia, and Middle East
  • Advanced skills with risk management of currencies, commodities and interest rates
  • Ability to work collaboratively with different cultural groups in a complex institution is essential
  • Excellent analytical and problem-solving skills, advanced Excel and PowerPoint skills required
About the Company 
 
Our business involves the formulation of a broad range of specialty chemicals created by blending raw materials through multi-step technological processes or formulating active ingredients into final agricultural products, which can be easily and safely used by growers in the field.  These specialty chemicals are sold into multiple industries, including agricultural, electronics, graphic arts, metals and plastic plating, and offshore oil production and drilling. 
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