Head of FX Risk & Front Office Strategy

Faurecia

Espargo

Presencial

EUR 120 000 - 180 000

Tempo integral

14 dias+

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Resumo da oferta

Forvia Interiors in Espargo, Portugal, is seeking a Head of Front Office to lead market-risk management with a focus on FX exposures and hedging. You will define FX strategies, identify and monitor exposures across entities and currencies, execute hedging instruments within approved limits, and maintain robust treasury controls.

The ideal candidate has 10+ years in treasury or FX markets, a Master’s degree in Finance or related field, and excellent English; you will partner with finance,

Qualificações

  • Master’s degree or equivalent in Finance, Economics, Business, Engineering or related field.
  • 10+ years of relevant experience in treasury, FX risk management or financial markets.
  • Proven ability to define FX strategy and manage hedging programs.
  • Strong analytical and quantitative skills.
  • Excellent knowledge of treasury controls and counterparty risk management.
  • Fluent in English and able to communicate market topics clearly.

Responsabilidades

  • Define and implement FX and market-risk management strategy.
  • Identify and monitor FX exposures across entities and currencies.
  • Execute FX hedging within approved limits.
  • Manage bank relationships for market transactions.
  • Prepare market-risk reporting and hedging analysis.
  • Advise business on FX risk mitigation options.
  • Ensure compliance with treasury policies and controls.

Conhecimentos

FX markets
Hedging instruments
Analytical skills
Treasury controls
Counterparty risk
Market communication
Banking relationships
English fluency

Formação académica

Master's degree or equivalent in Finance/Economics/Business
10+ years experience in treasury/FX or banking

Descrição da oferta de emprego

Forvia Interiors in Espargo, Portugal, is seeking a Head of Front Office to lead market-risk management with a focus on FX exposures and hedging. You will define FX strategies, identify and monitor exposures across entities and currencies, execute hedging instruments within approved limits, and maintain robust treasury controls.

The ideal candidate has 10+ years in treasury or FX markets, a Master’s degree in Finance or related field, and excellent English; you will partner with finance,

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