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Job Opportunity: Director of Financial Risk Exposure

 
Date   Feb 22
 
Listing No.   IE255779
 
Sector   Accounting, Economics, Analysis & Statistics
 
Region   Center
 
City/Yishuv   Petah Tikva
 
 
Director of Financial Risk Exposure
 
Our Global Treasury is looking for a Director of Financial Risk Exposure to join its Financial Risk and Cash management center of excellence unit

The successful candidate will be part of an experienced team that manages multi-billion-dollar risk across multiple hedging programs, including cash, in 50+ currencies and interfaces frequently with top financial firms for trading, strategy and expertise, while using state-of-the-art methodologies

We are looking for an experienced risk analyst with a good understanding of different types of market risks (FX, interest rate, cash & liquidity), excellent knowledge in treasury operations, banking and intercompany relations, financing, treasury and ERP systems and familiarity with the complexities of a large corporation with global operations.

Essential Duties & Responsibilities

Quantify, monitor and manage financial risks (FX, interest rates, cash & liquidity) and support cash management processes by building and maintaining financial models, work processes and supporting tools related to hedging activities

Manage and coordinate with regional and local teams to analyze global FX exposures and risk including strategic decision making, to control and optimize effect of exposures on our financial results

Planning of cash and accounting routes for major corporate financing events including the management of time-sensitive action items

Support, design and roll-out of financial risk frameworks throughout the organization to reduce risk and exposures and to get a reliable, real-time exposure position

Support, initiate and drive projects and improve processes involving multiple teams such as tax, legal, accounting and compliance

Prepare periodic reports and presentations of financial risks to management across all levels of seniority

Requirements

Academic degree Economics/Accounting/Econometrics/Finance or Quantitative specialization. MBA/CFA- an advantage
Five or more years of experience in the Financial Risk domain within large corporates/financial institutions
Expert in financial risk management, financial products and relevant professional treasury affiliations
Advanced MS Excel knowledge including ability to use advanced formulas, macros and calculation spreadsheets. Proficiency in Treasury systems, and specifically FIS Quantum - an advantage
Strong analytical skills; Decisive and resilient – has the ability to identify and solve complex problems independently on a timely manner
Result-driven and ability to push tasks forward in a persistent and constructive manner while managing different stakeholders and navigating different cultural environments
Broad knowledge of micro- and macroeconomic factors, with the ability to translate these into risk-based decisions
Outstanding verbal and written communication skills in English with advanced presentation skills
Changeable and flexible, well structured, autonomous.
Thrive while working in a fast-paced, dynamic environment

 
 
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