Join to apply for the Financial Risk Specialist role at SBM Offshore
Join to apply for the Financial Risk Specialist role at SBM Offshore
Get AI-powered advice on this job and more exclusive features.
As a Financial Risk Management Specialist, your mission is to safeguard the organization against a wide range of financial risks, including liquidity, foreign exchange (FX), interest, commodity, and credit risks. You will analyze these risks and other stakeholders, execute transactions, and ensure effective cash management. Your role is crucial in optimizing the balance sheet and profit and loss (P&L) outcomes, while also contributing to the development and implementation of risk mitigation strategies.
RESPONSIBILITIES
Manage company-wide liquidity, foreign exchange (FX), interest, commodity, and credit risks.
Define optimal risk mitigation strategies to enhance hedging efficiency.
Advise on risk assessment for tendering, commercial bidding, loans, investments, and other treasury-related risks.
Execute best practices in dealing with financial instruments (spot, forward, swaps) for SBM’s global activities.
Prepare and explain FX impact reports for stakeholders and the CFO.
Support updates to the company’s Financial Risk & Investment Policies.
Assist in cash planning, long-term forecasting, and administration of the cash planning IT system.
Accounting and Controlling:
Assist in monitoring and accounting for FX derivatives and financial income/expense results.
Manage and enhance hedge accounting practices.
Validate hedging strategies’ effectiveness on a monthly basis.
Other:
Contribute to the expansion of our Treasury Management System (TMS) and ERP system, focusing on automation, FX management, and treasury control.
Collaborate cross-functionally to improve efficiency and reduce risk in global procure-to-pay and order-to-cash processes.
Proactively engage with internal and external business partners.
JOB REQUIREMENTS
Bachelor’s degree in Finance, Economics, or a related field. Advanced degrees (such as Master’s in Finance or relevant certifications) are advantageous. Minimum 4 years of experience in financial risk management, treasury, or related roles.
Proven track record in managing liquidity, FX, interest, commodity, and credit risks across a company.
Expertise in defining and implementing risk mitigation strategies, including hedging techniques.
Hands-on experience in trading of financial instruments (spot, forward, swaps) on a global scale through specific platforms (Bloomberg, FXAll, 360T).
Ability to prepare and communicate FX impact reports to stakeholders and senior management.
Familiarity with cash planning, long-term forecasting, and IT systems administration.
Exposure to hedge accounting practices and internal controls.
Knowledge of ERP systems and Treasury Management Systems (TMS).
Collaborative mindset for cross-functional process improvement.
Proficient knowledge of Excel and VBA is a must. PowerBI / SQL knowledge a plus
Seniority level
* Seniority level
Mid-Senior level
Employment type
* Employment type
Full-time
Job function
* Job function
Finance
* Industries
Oil and Gas
Referrals increase your chances of interviewing at SBM Offshore by 2x
Sign in to set job alerts for “Risk Specialist” roles.
Associate Director, Quality Risk Specialist
Business Risk Manager for KYC/AML and Investor Protection (temporary)
Bern-Mittelland, Berne, Switzerland 3 hours ago
We’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
#J-18808-Ljbffr