Summary
Join Remote as a Treasury Manager, FX and Trade Finance and make a personal difference in the global employment space. This fully remote position offers the opportunity to lead effectively, enhance resilience, drive change, and be a self-starter. You will implement hedging strategies, oversee daily FX trading, manage global FX risks, and collaborate with cross-functional teams. The role requires a Bachelor's degree, 6+ years of experience in international corporate FX, excellent leadership skills, and strong analytical and communication abilities. Remote offers competitive compensation, flexible work arrangements, and a comprehensive benefits package.
Requirements
- Bachelor's Degree in Business Administration or equivalent
- 6+ years of experience in international corporate FX position or a similar position
- Excellent leadership, able to work in virtual global teams
- Ability to swiftly execute tasks without compromising on the precision - adeptness at balancing speed and quality is crucial
- Systematic approach to problems and solution finding with competence to prioritize tasks
- Demonstrated analytical abilities, exceptional problem-solving prowess, and a keen eye for detail
- Effective communication skills, both in writing and speech, paired with a natural inclination to foster relationships
- Proactive mindset with the ability to identify opportunities for improvement and take initiative
- Writes and speaks fluent English
Responsibilities
- Implement hedging strategies and risk management practices to safeguard against FX volatility
- Oversee daily FX trading operations, ensuring effective and timely execution
- Managing and optimizing global FX risks and processes
- Handling month-end reporting, including mark-to-market valuations and assessing hedging effectiveness
- Liaising with financial institutions to negotiate favorable FX rates
- Collaborating with cross-functional teams to align FX strategies with overall business objectives
- Monitoring FX market trends and economic indicators
- Developing trading strategies to maximize cost efficiency and profitability
- Educatinging and advising company stakeholders on FX risks and opportunities
- Implementing technology solutions for more efficient FX management and reporting
Preferred Qualifications
- Background in fast-scaling startups or major global corporations is an advantage
- Project management experience is a plus
- CPA or CFA are considered a plus
Benefits
- Work from anywhere
- Flexible paid time off
- Flexible working hours (we are async )
- 16 weeks paid parental leave
- Mental health support services
- Stock options
- Learning budget
- Home office budget & IT equipment
- Budget for local in-person social events or co-working spaces
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