Commodity Risk Manager recruitment
• Coordinate with multiple stakeholders teams, corporate accounting, treasury and tax to qualify new commodity hedging programs
• Work with regional strategy teams to ensure seamless execution of playbook strategies, compliance monitoring and reporting, and related risk management activities
• Provide expertise in conducting various statistical analyses, I.e., correlation studies, trends, sensitivity analysis.
• Coordinate preparation and approval of Technical Requirements Documentation for all global financial hedging programs covering hedge accounting qualification criteria, legal entities, appropriate tax treatment with corporate accounting, treasury, tax and regional finance and controls teams
• Support global teams in the adoption of right hedging model by facilitating comparative analysis between financial hedging vs. supplier provided hedging
• Work closely with controls and planning teams on defining, developing and implementing global information systems for Credit Risk
• Conduct market research on best practices, competitive landscape and new hedging tools
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• Bachelors degree in Economics / Finance / Accounting
• Professional qualified candidate, ACA, ACCA, CPA or MBA
• 5+ years of experience within a similar role in a multinational business, ideally FMCG
• Commodity management experience preferred; and/or a deep knowledge of financial markets and statistical modelling
• Strong analytical, communication and interpersonal skills
• Strong leadership skills, and drive for results
• Ability to collaborate with multiple stakeholders; handle competing priorities; influence others to meet information needs