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Front Office and Market Risk Manager - Treasury(m/w/x)
Hedging framework governance and group financing structures for a global fragrance and flavor manufacturer. Expertise in FX, interest rate risk, and SAP Treasury Management Systems required. Performance-based bonus, flexible working arrangements.
Requirements
- Degree in Finance, Economics, or related discipline
- Progressive experience in treasury or risk management
- Expertise in FX and interest rate risk
- Experience with Treasury Management Systems (SAP)
- Experience managing hedging programs
- Strategic thinking and hedging strategy translation
- Comfort with derivative structures
- Stakeholder management skills
- Commercial knowledge of market risk impacts
- Compliance mindset
Tasks
- Identify, measure, and mitigate all market risks
- Manage foreign exchange, interest rate, and financing risks
- Oversee market risks for global industrial operations
- Govern the group hedging framework
- Structure short-term and long-term group financing
- Manage ad-hoc M&A and special corporate transactions
- Ensure compliance with IFRS 9 hedge accounting
- Provide strategic risk advisory to the CFO
- Define and maintain Group FX risk policies
- Oversee the end-to-end hedging process
- Manage transactional and translational FX exposures
- Focus on high-volatility and emerging market currencies
- Lead interest rate risk management and optimization
- Manage risks related to the LTIP program
- Organize all special corporate transactions
- Document hedging relationships for IFRS 9 qualification
- Advise on intercompany loan classification and OCI treatment
- Collaborate with Group Accounting on derivative presentation
- Report market risk and stress testing results
- Control annual hedging strategy alignment with FCF targets
- Advise on FX impacts of M&A and capital decisions
- Maintain the Treasury Management System for trade data
- Ensure compliance with counterparty limits and regulatory reporting
- Promote digital transformation and automation of risk processes
- Lead and develop a front office team of two
- Foster a high-performance culture and succession planning
- Coordinate global policy execution with regional treasury centers
Education
- Bachelor's degree
Languages
- English – Business Fluent
Tools & Technologies
- SAP
- Treasury Management Systems
Benefits
Flexible Working
- 1 day home office
- Hybrid work
- Flexible working arrangements
Competitive Pay
- Competitive base salary
Bonuses & Incentives
- Performance-based bonus
Career Advancement
- International career opportunities
Retirement Plans
- Pension contributions
Healthcare & Fitness
- Health insurance contributions
Other Benefits
- Global exposure
- Market risk strategy involvement
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Front Office and Market Risk Manager - Treasury(m/w/x)
Hedging framework governance and group financing structures for a global fragrance and flavor manufacturer. Expertise in FX, interest rate risk, and SAP Treasury Management Systems required. Performance-based bonus, flexible working arrangements.
Requirements
- Degree in Finance, Economics, or related discipline
- Progressive experience in treasury or risk management
- Expertise in FX and interest rate risk
- Experience with Treasury Management Systems (SAP)
- Experience managing hedging programs
- Strategic thinking and hedging strategy translation
- Comfort with derivative structures
- Stakeholder management skills
- Commercial knowledge of market risk impacts
- Compliance mindset
Tasks
- Identify, measure, and mitigate all market risks
- Manage foreign exchange, interest rate, and financing risks
- Oversee market risks for global industrial operations
- Govern the group hedging framework
- Structure short-term and long-term group financing
- Manage ad-hoc M&A and special corporate transactions
- Ensure compliance with IFRS 9 hedge accounting
- Provide strategic risk advisory to the CFO
- Define and maintain Group FX risk policies
- Oversee the end-to-end hedging process
- Manage transactional and translational FX exposures
- Focus on high-volatility and emerging market currencies
- Lead interest rate risk management and optimization
- Manage risks related to the LTIP program
- Organize all special corporate transactions
- Document hedging relationships for IFRS 9 qualification
- Advise on intercompany loan classification and OCI treatment
- Collaborate with Group Accounting on derivative presentation
- Report market risk and stress testing results
- Control annual hedging strategy alignment with FCF targets
- Advise on FX impacts of M&A and capital decisions
- Maintain the Treasury Management System for trade data
- Ensure compliance with counterparty limits and regulatory reporting
- Promote digital transformation and automation of risk processes
- Lead and develop a front office team of two
- Foster a high-performance culture and succession planning
- Coordinate global policy execution with regional treasury centers
Education
- Bachelor's degree
Languages
- English – Business Fluent
Tools & Technologies
- SAP
- Treasury Management Systems
Benefits
Flexible Working
- 1 day home office
- Hybrid work
- Flexible working arrangements
Competitive Pay
- Competitive base salary
Bonuses & Incentives
- Performance-based bonus
Career Advancement
- International career opportunities
Retirement Plans
- Pension contributions
Healthcare & Fitness
- Health insurance contributions
Other Benefits
- Global exposure
- Market risk strategy involvement
About the Company
Givaudan SA
Industry
Food
Description
Givaudan is the global leader in the creation of flavours and fragrances, collaborating with partners to innovate and delight consumers.
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