Corporate Treasury

A risk management advisory firm that has worked with large Fortune 500 and FTSE businesses, is looking for a Treasury professional working within a Corporate Treasury function with strong Risk Management experience. This role will have you focusing on advising clients on their FX risk, Interest Rate Risk, and other hedging decisions related to debt capital markets as well as executing these.

For this role you must be working in a Corporate Treasury or the Big 4. You will be responsible for advising corporates on Interest Rate, FX and Commodity risk management, recommend hedging strategies and execute derivatives transactions, and review hedging documents. This role will allow you to work within a close team who are experienced professionals in their relevant fields. In return for your dedication to the role you will have the opportunity to develop your career within the business, get involved in articles and presentations and be financially rewarded for your personal contribution to the business.

The organisation are looking for someone whose role has had a focus on risk management, enjoys working with a wide array of clients, and is looking for the opportunity to gain a more in-depth knowledge of the issues that face different corporates. For this role you will need to have strong experience in risk management, ideally with derivatives, with impressive communication skills and be looking to take the experience you have developed within either a corporate treasury or the Big 4 and develop it within a business where you can really see the impact you can have on an organisation.

If you would like further information on this opportunity please contact Martha Pierce on 020 3465 0138.

May 18, 2015 • Tags:  • Posted in: Financial

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