Join Linxon as a Senior Treasury Risk Manager and work across three exciting HUBs. Manage market risk management function and develop a risk management program with extensive understanding of the business' key risk areas.
Requirements
- Operating and developing a risk management program with extensive understanding of the business' key risk areas and plans to proactive management of these risks as required
- Risk exposure identification, evaluation, monitoring, management and reporting effectiveness on the following key risk areas: Foreign exchange risk, Commodity Price Risk, Inflation Risk, Interest rate risk, Counterparty credit risk
- Develop potential hedging strategies to mitigate balance sheet, income statement and cash flow exposures
- Trade execution and negotiation with banks
- ISDA and counterparty contract negotiation and administration
- Analyze the source of the foreign currency costs and recommend opportunities for improving rates
- Develop financial models and pro forma scenarios for evaluating strategic initiatives
- Participate in corporate finance projects, including review of the Group's capital structure
- Lead the trading and risk management workstreams of treasury system development
- Have a thorough understanding of hedge effectiveness testing and its application under IAS39 and IFRS 9