Corporate Treasury (Freight/ Shipping) FX recruitment
Globally recognized shipping corporation looking to add an FX dealer/ analyst to join the Treasury department. This is a pivotal role reporting to the Head of Treasury in the UK Head Office based. The successful applicant shall be responsible for the implementation of the cash flow forecasting process, implementing freight hedging strategies, liaise with business and corporate treasury units to ensure funding meets all future cash-flow need.
The candidate is required to focus on:
• Managing the company’s European FX exposures.
• Liquidity management
• Centralizing and managing risk by implementing freight hedging strategies.
• Cash flow forecasting and modelling
• FX and shipping market monitoring
Key Skills Required:
-Experience trading in the FX derivatives space within a shipping context
-2 years experience in an FX treasury role ideally at another shipping firm
- Hard working and energetic.
Interested candidate please kindly send your profile to
fifx@SelbyJennings.com or call 0044 207 019 4194