You manage various risk management tasks, focusing on foreign exchange and credit, while providing strategic treasury advice and promoting teamwork throughout the organization.
Anforderungen
- •Bachelor’s degree in finance or related field
- •Fluent in English, additional languages a plus
- •5 - 10 years in portfolio management
- •Strong abilities to analyze financial data
- •Deep knowledge of foreign exchange markets
- •Experience with Bloomberg and/or Reuters
- •Strong analytical and critical thinking skills
- •Ability to work well under pressure
- •Confident in decision making under pressure
- •Strong ability to communicate complex concepts
- •Knowledge of Commodities is a plus
- •Self-motivated and result-oriented team player
Deine Aufgaben
- •Manage foreign exchange and credit risks.
- •Execute foreign exchange trades and options.
- •Contribute to treasury policies and strategies.
- •Provide treasury advice across the organization.
- •Act as a strong team member.
Original Beschreibung
## Job Description
Your main tasks will be:
* Manage mainly foreign exchange risk and also credit-, counterpart- and liquidity risk.
* Execute foreign exchange trades with external counterparts, including foreign exchange options.
* Contribute to treasury policy, rules and strategies.
* Provide Treasury advice to different parts of the organization.
* Be a strong team member.
## Qualifications
Requirements:
* Bachelor’s degree in finance, economics, mathematics, Business Administration, or a related field.
* Fluent in English, additional languages a plus.
* 5 - 10 years of portfolio management responsibly in a multinational corporate environment or financial institution.
* Strong abilities to analyse financial data, assess risks, and develop risk management strategies.
* Deep knowledge of foreign exchange markets and economic factors that drive currency fluctuations.
* Experience in using the most common financial instruments, financial models & treasury systems (Bloomberg and/or Reuters).
* Strong analytical and critical thinking skills. Ability to quickly evaluate risk scenarios and develop solutions.
* Ability to work well under pressure and in a fast-paced environment.
* Confident in making decisions under uncertainty and pressure.
* Strong ability to communicate complex risk concepts and trading strategies to stakeholders.
* Knowledge of Commodities is a plus.
* A driven, self-motivated and result-oriented team-player with high level of cultural awareness.
## Additional Information
This role is full-time (40 hours per week) and based in Pratteln, Switzerland.