FX Markets & Risk Leader - Hedging & Treasury Strategy

Faurecia

Portugal

Teletrabalho

EUR 120 000 - 170 000

Tempo integral

14 dias+
Gerador de candidaturas

Uma candidatura completa num minuto — currículo e carta de apresentação personalizados, prontos a enviar.

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Resumo da oferta

Faurecia is seeking a Head of Financial Markets and Risk Management to lead FX risk management and hedging strategies from its Santa Maria da Feira offices in Portugal. The role focuses on defining strategies, monitoring FX exposures, and managing hedging activities across the group.

The position demands 10+ years in corporate treasury or financial markets, with a Master's degree and fluent English, to ensure robust market analysis, reporting, and stakeholder collaboration.

Qualificações

  • 10+ years of experience in corporate treasury, financial markets, FX risk management or banking.
  • Master’s degree or equivalent in Finance, Economics, Business, Engineering or related field.
  • Fluency in English.

Responsabilidades

  • Define and implement FX and market-risk management strategy.
  • Identify, measure and monitor FX exposures across entities and currencies.
  • Execute FX transactions and hedging instruments within approved limits.
  • Manage bank relationships for market transactions and execution quality.
  • Monitor market trends, rates, volatility and macroeconomic developments.
  • Prepare market-risk reporting and hedging effectiveness analysis.
  • Advise business and finance teams on FX risk and mitigation options.
  • Ensure compliance with treasury policies, counterparty limits and internal controls.
  • Maintain documentation, confirmations and audit trails for treasury transactions.

Conhecimentos

FX markets & hedging instruments
Analytical & quantitative
Treasury controls & counterparty risk
Clear market-topic communication
Banking relationship management
English fluency

Formação académica

Master’s degree in Finance/Economics/Business/Engineering

Descrição da oferta de emprego

Faurecia is seeking a Head of Financial Markets and Risk Management to lead FX risk management and hedging strategies from its Santa Maria da Feira offices in Portugal. The role focuses on defining strategies, monitoring FX exposures, and managing hedging activities across the group.

The position demands 10+ years in corporate treasury or financial markets, with a Master's degree and fluent English, to ensure robust market analysis, reporting, and stakeholder collaboration.

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