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- Join a FTSE listed business based near Birmingham
- An opportunity to drive key operational and strategic Treasury initiatives
About Our Client
This is an opportunity to join a FTSE listed business based in their Solihull offices. Over the last year or so, the business has worked on growing their commodities arm as well as ensuring that decisions are geared towards ESG commitments so that they can be one of the main leaders within the FMCG sector.
Job Description
The Treasury Risk Manager will be responsible for:
- To work with the business units to identify, forecast and monitor foreign exchange exposures across the Group
- To manage the impact of these exposures and deliver timely and insightful reporting to key stakeholders
- To identify, monitor and manage the interest rate exposure across the Group and report the impact of market movements.
- To forecast and manage the delivery of the Group's external interest charge providing timely updates to the business as required.
- To evaluate requirements and execute the hedging requirements under the Group's share incentive schemes.
The Successful Applicant
The Treasury Risk Manager will ideally have:
- Understanding and experience of interest rate and foreign exchange derivatives
- Working in a UK Plc / Group environment
- 3 years plus experience in a group corporate treasury function with a specific exposure to derivatives and risk management.
- Experience of treasury management systems, IT2 preferred
What's on Offer
A competitive package is on offer to the successful candidate. The role will offer flexible working between the office and home.