Senior Treasury & Risk Specialist

Tiryaki Agro

Üsküdar

On-site

TRY 600,000 - 900,000

Full time

13 days ago
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Job summary

Senior Treasury & Risk Specialist at Tiryaki Agro will join the Treasury team to manage FX and interest rate risks across the Group and execute treasury transactions.

The role involves market analysis, development of hedging strategies, and reporting to senior management, collaborating with banks and internal stakeholders in a fast-paced, international environment.

Qualifications

  • Bachelor's degree required in Finance, Economics, or related field.
  • Minimum 5 years in treasury, risk management, or corporate finance.
  • Strong FX, derivatives, and hedging instrument knowledge.
  • Proficiency with Bloomberg/Refinitiv preferred.
  • Excellent analytical and communication skills; English fluency.
  • Ability to work in a fast-paced, international environment.

Responsibilities

  • Execute spot and forward FX transactions with competitive pricing.
  • Monitor FX exposures across the Group and report results.
  • Support FX hedging strategies and risk management initiatives.
  • Analyze interest rate exposures and treasury products.
  • Prepare treasury and risk reports for senior management.
  • Maintain relationships with banks and financial counterparties.

Skills

FX markets
Derivatives & hedging
Financial modelling
Bloomberg/Refinitiv
Excel (advanced)
English communication

Education

Bachelor's degree in Finance, Economics, Business Administration or related

Tools

Bloomberg
Refinitiv Eikon

Job description

About the Role

We are looking for a highly motivated Senior Treasury & Risk Specialist to join our Treasury team. This role will support the management of foreign exchange and interest rate risks across the Group, execute treasury transactions, conduct market analysis, and contribute to the development of effective hedging strategies.

The successful candidate will work closely with financial institutions and internal stakeholders, monitor market developments, and provide timely reporting and insights to senior management.

Key Responsibilities
  • Execute spot and forward FX transactions while ensuring competitive market pricing.
  • Monitor, measure and report foreign exchange exposures across the Group.
  • Support the implementation and execution of FX hedging strategies.
  • Analyze interest rate exposures and assist in the execution of interest rate risk management solutions.
  • Monitor and manage treasury-related limits and documentation with banks and financial institutions.
  • Support treasury aspects of bond, sukuk and other capital market transactions.
  • Conduct market, industry and peer analysis to support treasury and risk management decisions.
  • Monitor macroeconomic and financial market developments and assess their potential impact on the Group.
  • Prepare regular and ad hoc treasury, liquidity and risk management reports for senior management.
  • Maintain effective relationships with banks, financial counterparties and other stakeholders.
Qualifications
  • Bachelor's degree in Finance, Economics, Business Administration or a related field.
  • Minimum 5 years of experience in Treasury, Risk Management, Financial Markets or Corporate Finance within a bank or a multinational company.
  • Strong understanding of FX markets, derivatives and hedging instruments.
  • Knowledge of interest rate risk management and treasury products.
  • Experience with Bloomberg and/or Refinitiv Eikon is preferred.
  • Advanced Excel and financial modelling skills.
  • Excellent analytical, problem-solving and communication capabilities.
  • Fluent in both written and spoken English.
  • Ability to work effectively in a fast-paced and dynamic international environment.
  • For male candidates, completion of military service is preferred.
What We Offer
  • Opportunity to work in one of the leading international agribusiness groups.
  • Direct exposure to global financial markets, treasury operations and risk management activities.
  • Experience in sophisticated hedging, funding and capital markets transactions.
  • A dynamic and collaborative working environment with significant professional development opportunities.
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