Descrizione dell'offerta
Experteer Overview
As part of ABB Robotics’ corporate treasury, you will lead financial market risk management across FX, interest rates, and commodities. You’ll translate exposures into actionable hedging and liquidity strategies, collaborating with business teams and banking partners to protect value and support growth. You’ll work within a global framework to analyze market movements, ensure data integrity in treasury systems, and uphold regulatory and internal controls. This role offers influence over risk governance and the execution of strategic financial activities in a fast-moving, innovation-driven setting.
Retribuzione / Benefits
- Shape and oversee the global financial market risk framework for ABB Robotics
- Execute market transactions across FX, interest rate, and commodity derivatives
- Analyze market movements and assess impact on hedge contracts and business units
- Advise business teams on exposures, hedging, and associated risks; engage with banks and internal stakeholders
- Maintain data accuracy in the Treasury Management System and trading platforms
- Ensure compliance with regulatory requirements and internal/external policies; support audits
Responsabilità
- Bachelor in Finance, Economics, or related field
- 5-9 years’ experience in treasury, financial markets, or banking
- Solid knowledge of derivatives and related risks (FX, reates, commodities)
- Knowledge of Treasury Management System (e.g., Kyriba) and Trade/Risk Systems (e.g., FXALL, Refinitiv Workspace)
- Business acumen and understanding of how market risks affect performance and accounting
- Strong analytical skills and structured problem-solving approach
- Proficient in oral and written English
- Team player with collaboration, business partnering, and communication skills
Candidatura e Ritorno (in fondo)
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