Job Description
1. As financial risk manager you are responsible for the monitoring and the mitigation of currency, interest rate, and commodity risks.
2. You drive the development and enhancement of hedging strategies to manage financial risks.
3. Furthermore, you act as advisor for the operational teams on the economic implications of exchange and interest rate fluctuations.
4. You prepare and present regular treasury reports to senior management and stakeholders, analyze market movements and implement risk management measures.
5. Also, you collaborate with internal and external partners to execute risk management strategies.
6. You support the optimization and development of treasury systems and processes.
Qualifications
7. Education: Master or Diploma degree in Business Administration and/or Economics with a focus on corporate finance, treasury or risk management
8. Work Experience and Knowledge: several years of experience in treasury or finance; international experience in treasury, finance, or risk management roles; preferably in complex organizational environments; experience in financial management and risk assessment
9. Personality and Working Practice: excellent communication skills with the ability to clearly present complex financial information; strong analytical skills and entrepreneurial mindset; process- and performance-orientated
10. Languages: excellent writtenand spoken English and German language skills, other language skills beneficial
Additional Information
We offer flexible working models: from various part-time options to mobile working and job sharing. Feel free to contact us.
Diversity and inclusion are not just trends for us but are firmly anchored in our corporate culture. Therefore, we welcome all applications, regardless of gender, age, disability, religion, ethnic origin or sexual identity.
Need support during your application?
Katharina Maria Rixner (Personalabteilung)
+49(7153)306-1943
Need further information about the job?
Pinar Kurt (Fachabteilung)
+49(174)4939113