About This Opportunity
Enable financial growth as a Manager specializing in treasury and risk management. Implement hedging strategies for foreign exchange and interest rates while ensuring accurate financial reporting.
In this pivotal role, you’ll leverage your knowledge of derivatives to mitigate risks associated with complex financial transactions. Work with diverse stakeholders to improve accountability in hedging programs while adhering to U.S. GAAP.
Key Responsibilities:
• Identify and manage foreign-exchange and interest-rate risks
• Negotiate and execute derivative trades with banks
• Maintain comprehensive trade repository for derivatives
• Conduct month-end valuation and journal entries
• Review and prepare critical financial reporting sections
Requirements:
• 3+ years of experience in derivative accounting
• Strong understanding of U.S. GAAP is essential
• Familiarity with financial systems: Reval, Oracle, Hyperion preferred
• Bachelor's in Accounting or Finance...