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מעל 80,000 משרות • 4,000 חדשות ביום
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60766 - Associate Director, FX Trader & Risk Specialist
The opportunity:
Teva's Global Treasury is looking for a Financial Risk Specialist with FX trading experience to join Corporate Finance & Financial Risk Management team.
This role offers the opportunity to be part of dynamic, highly skilled team that manages key financial activities at Teva such as hedging financial risks (FX, interest rates, energy prices), debt and financing strategies, cashflow forecasting, and maintaining relationships with banks and rating agencies.
We are looking for an experienced financial markets trader (with an emphasis on FX trading) or a treasury specialist with an excellent understanding in different types of market risks, treasury operations, financial-risk-management and banking relations.
This is an opportunity to join a world-class treasury organization, showcasing your skills in analytics, project management, and strategic thinking.
If you have FX trading experience with a passion for financial-risk-management and treasury, you have a unique opportunity driving a significant impact on our financial performance and advance your career with Teva.
How you’ll spend your day:
- Management of Teva’s market risk - running the FX, interest rates & energy hedging activity (portfolio of several $ billions in ~50 currencies)
- Analysis and identification of the group's market risks and exposures
- Build and maintain financial models and tools supporting the activity
- Design and recommend hedging strategies to senior-management
- Monitor and analyze financial markets conditions
- Maintain relationships with the group banks
- Drive automation of trading activities and development of new monitoring and analysis capabilities.
- Prepare and present periodic reports related to the risk management activity
- Assist with managing Teva’s non-core asset portfolio
- Support back-office activities and IT systems related to the treasury activity
- Any other additional function which will be assigned to you by the Supervisor in accordance with your field of expertise.
Your experience and qualifications:
- Academic degree in Economics, Accounting, Statistics, Finance, or a Quantitative field – a must. Advanced degree or MBA – an advantage.
- 3+ years of experience in the Financial-Risk domain (mainly FX) within large corporates or financial institutions.
- Treasury experience in large corporates – an advantage.
- Advanced MS Excel skills (complex formulas, advanced functions) – must.
- Proficiency in Treasury management systems - an advantage.
- Advanced presentation skills – can deliver engaging presentations and simplify complex information for diverse audiences.
- Skills
- Excellent interpersonal skills – effectively collaborates with diverse stakeholders in a matrix organization and motivates teams to achieve goals.
- Strong analytical skills – interprets complex data, identifies trends, solves problems, and drives strategic initiatives.
- Excellent English proficiency – strong spoken, written, and presentation skills, clearly articulates ideas and produces well-structured documents.
- Team player, curious, self-learner with a "can-do" mindset.
במקום לעבור לבד על אלפי מודעות, Jobify מנתחת את קורות החיים שלך ומציגה לך רק משרות שבאמת מתאימות לך.
מעל 80,000 משרות • 4,000 חדשות ביום
חינם. בלי פרסומות. בלי אותיות קטנות.