04 ago
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ABB
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Sesto San Giovanni
04 ago
ABB
Sesto San Giovanni
Questa posizione è in ABB Riassunto dell'possibilità da parte della Joinrs AI : ABB cerca un Financial Markets Risk Manager con laurea in Finance, Economics o campo correlato e 5-9 anni di esperienza in tesoreria, mercati finanziari o banking.
Il candidato analizzerà esposizioni, eseguirà transazioni finanziarie e contribuirà alla gestione del rischio nei mercati.
Sono previsti un modello di lavoro ibrido e l'opportunità di operare da diverse sedi europee.
-- At ABB, we help industries outrun - leaner and cleaner.
Here, progress is an expectation - for you, your team, and the world.
As a global market leader, we'll give you what you need to make it happen.
It won't always be easy, growing takes grit.
But at ABB, you'll never run alone.
Run what runs the world.
This role sits within ABB's Robotics business, a leading global robotics company.
We're entering an exciting new chapter as we've announced the plan for SoftBank Group to acquire ABB Robotics.
SoftBank is a globally recognized technology group and investor/operator focused on AI, robotics, and next-generation computing.
By joining us now, you'll be part of a pioneering team shaping the future of robotics—working alongside world-class experts in a fast-moving, innovation-driven environment.
This Position reports to: Head of Financial Markets Risk Management Reporting to the Head of Financial Markets Risk Management in Corporate treasury team of ABB Robotics, your responsibilities will include analyzing exposures, implementing risk management processes and execute transactions in alignment with Financial Markets Risk Management Framework.
You will contribute to end-to-end processes that identify and mitigate risks arising from fluctuations in foreign exchange rates, interest rates, and commodity prices.
Your help to guide our business in developing effective risk mitigation strategies, ensuring the stability and growth of our business.
The role also includes execution of transactions for liquidity-related market activities and corporate cash investments.
The work model for the role is: hybrid; #LI-hybrid.
The preferred locations are Poland, Czech Republic (other European locations possible) Your responsibilities include: Financial Market Risk Strategy collaborate closely with banking partners and internal stakeholders.
Treasury Systems perform and document controls relevant for Financial Market Risk Management activities; support internal and external audit.
Qualifications for the role: Bachelor's in Finance, Economics, or a related field 5-9 years' experience in treasury, financial markets, or banking.
Solid knowledge about derivatives and financial instruments (foreign exchange, interest rates, and commodity derivatives) with understanding of associated risks Knowledge about Treasury Management System (e.g., Kyriba) and Trade / Risk System (e.g., FXALL, Refinitiv Workspace, etc.) Business acumen, understand how market risks and hedging strategies impact business performance and accounting Strong analytical skills, proficient analytical abilities and a structured approach to problem-solving Proficient in oral and written English Recognized team player with excellent collaboration, business partnering, and communication skills We value people from different backgrounds.
Could this be your story?
Apply today or visit to read more about us and learn about the impact of our solutions across the globe.
-- [#LI-REMOTE] [#J-MCITY] [#J-ENTERPRISE]
📌 Financial Markets Risk Specialist (Sesto San Giovanni)
🏢 ABB
📍 Sesto San Giovanni