Financial Risk Specialist
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* Safeguarding Organizational Assets: As a seasoned Financial Risk Management Specialist, you will be responsible for analyzing and mitigating various financial risks that threaten the organization's balance sheet and profit outcomes.
* Effective Cash Management: Your role entails ensuring optimal cash management practices, executing transactions, and defining risk mitigation strategies to enhance hedging efficiency.
* Treasury Expertise: You will leverage your expertise in trading financial instruments (spot, forward, swaps) on a global scale through platforms like Bloomberg, FXAll, and 360T.
* Collaboration and Communication: Proactive engagement with internal and external business partners, including stakeholders and senior management, is essential for communicating FX impact reports and validating hedging strategies' effectiveness.
Key Responsibilities:
1. Manage company-wide liquidity, foreign exchange (FX), interest, commodity, and credit risks.
2. Define optimal risk mitigation strategies to enhance hedging efficiency.
3. Advise on risk assessment for tendering, commercial bidding, loans, investments, and other treasury-related risks.
4. Execute best practices in dealing with financial instruments (spot, forward, swaps) for SBM's global activities.
5. Prepare and explain FX impact reports for stakeholders and the CFO.
6. Support updates to the company's Financial Risk & Investment Policies.
7. Assist in cash planning, long-term forecasting, and administration of the cash planning IT system.
8. Accounting and Controlling: