Head of Front Office

Faurecia Automotive GmbH

Portugal

Presencial

EUR 80 000 - 120 000

Tempo integral

14 dias+
Gerador de candidaturas

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Resumo da oferta

Faurecia Automotive GmbH is seeking a Head of Front Office based in Espargo, Portugal. This role is pivotal for leading market-risk management activities, focusing on foreign-exchange exposures and hedging transactions. The ideal candidate will have over 10 years of experience and a master’s degree in a relevant field.

As the Head of Front Office, you will define and implement FX strategies, monitor market conditions, and prepare comprehensive market-risk reports. Fluency in English and strong banking relationship skills are essential.

Qualificações

  • 10+ years of relevant experience in corporate treasury, financial markets, FX risk management or banking, ideally in an international industrial group.
  • Strong command of FX markets and hedging instruments.
  • Robust understanding of treasury controls and counterparty risk.

Responsabilidades

  • Lead market-risk management activities with a focus on FX exposures.
  • Define and implement FX and market-risk management strategy.
  • Monitor market trends, rates, volatility and macroeconomic developments.

Conhecimentos

FX markets knowledge
Analytical skills
Quantitative skills
Strong communication
Banking relationship management

Formação académica

Master’s degree in Finance, Economics, Business, Engineering or related field

Descrição da oferta de emprego

# Head of Front OfficeEspargo, PortugalID: 66396---## Job DescriptionForvia Interiors is looking for a Head of Front Office to be based in Espargo, Portugal.ROLE PURPOSE The Head of Front Office leads market-risk management activities, with a primary focus on foreign-exchange exposures and hedging transactions.KEY MISSIONS - 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. - Partner with Accounting, Tax, Controlling and local finance on hedging impacts. - Ensure compliance with treasury policies, counterparty limits and internal controls. - Maintain documentation, confirmations and audit trails for treasury transactions. - Advise business and finance teams on FX risk and mitigation options.EXPERIENCE 10+ years of relevant experience in corporate treasury, financial markets, FX risk management or banking, ideally in an international industrial group.EDUCATION Master’s degree or equivalent level in Finance, Economics, Business, Engineering or a related field.KEY COMPETENCIES - Strong command of FX markets and hedging instruments. - Excellent analytical and quantitative skills. - Robust understanding of treasury controls and counterparty risk. - Ability to communicate market topics clearly. - Strong banking relationship capability. - Fluency in English.
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