Treasury Manager, Financial Markets
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This position reports to
Head of Financial Markets Risk Management
Your role and responsibilities
Are you ready to take your career to the next level? ABB is looking for a skilled and adept Treasury Manager to join our Financial Markets Risk Management (FMR) team within Corporate Treasury. This is your chance to directly manage financial risks for a global leader in technology and innovation. As a Treasury Manager in the FMR workstream, you will play a key role in financial markets risk management for the ABB Group. Your responsibilities will include designing and implementing risk management processes, analyzing exposures, and executing transactions in alignment with our global mandate. You will manage end-to-end processes that identify and mitigate risks arising from fluctuations in foreign exchange rates, interest rates, and commodity prices. Your knowledge will guide our Business Areas and Divisions in developing effective risk mitigation strategies, ensuring the stability and growth of our business. Your responsibilities include: Financial Markets Execution *Carry out the execution of financial markets transactions, including FX, interest rate, and commodity derivatives, as well as money market and fixed income investments. *Provide a global perspective on financial market risks and their impact on ABB. *Analyze market price movements and their effects on derivative hedge contracts, supporting business units in understanding the financial implications. Regulatory Knowledge *Navigate emerging markets with a comprehensive understanding of related regulations and practical financial markets dealing experience. Continuous Learning and Development *Facilitate the adoption of best practices in financial markets and risk management. *Deliver ongoing training to business stakeholders, enhancing their understanding of financial market risks and ABB's risk management strategies. *Promote adherence to ABB's FX and Commodities Risk Management Policy across the organization. The work model for the role is: {onsite/hybrid/remote} {insert Linkedin #}
Qualifications for the role
- University degree in Finance, Economics, or a related field.
- Professional Experience: Minimum of 7+ years in treasury, financial markets, or banking.
- Technical Skills: Proficient in transacting foreign exchange, interest rates, and commodity derivatives with a deep understanding of associated risks.
- Business Acumen: Insight into how market risks and hedging strategies impact business performance and accounting.
- Analytical Skills: Proficient analytical abilities and a structured approach to problem-solving.
- Communication Skills: Proficient in oral and written English
- Global Perspective: Experience working with diverse, global teams and an appreciation for cultural differences.
More about us
We value people from different backgrounds. Apply today for your next career step within ABB and visit www.abb.com to learn about the impact of our solutions across the globe. #MyABBStory
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