The Treasury Risk Management Manager role at [Company Name - not specified in provided document] involves implementing and improving treasury policies, controlling and reporting on various financial risks, and building plans to mitigate them. The manager will participate in negotiating agreements, treasury projects, and risk committee meetings.
The role involves:
- Implementing and improving treasury policies.
- Controlling and reporting corporate treasury risks.
- Building and implementing risk mitigation plans.
- Participating in negotiation of financial agreements.
- Communicating with stakeholders.
Requirements:
- Bachelor’s degree in Business Administration, Finance, Economics, or Banking.
- Professional certification in Risk and/or Finance.
- Minimum of three years of experience in Financial Institutions or Investment Banks.
- Experience in Fixed Income and Derivatives.
- Analytical and numerical skills
- Proficient in MS Office software
- Ability to communicate effectively in English
The role offers:
- Participation in treasury projects and system improvements.
- Regular communication with multiple stakeholders.
- Involvement in company-wide risk committee meetings.