Financial Markets Risk Specialist (Milano)

Financial Markets Risk Specialist (Milano)

12 ago
|
ABB
|
Milano

12 ago

ABB

Milano

At ABB, we help industries outrun

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- leaner and cleaner.

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.

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 ManagementReporting 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.

The work model for the role is: hybrid;Poland, Czech Republic (other European locations possible)Your responsibilities include:Financial Market Risk Strategy & Oversight: build a global perspective on financial market risks and their impact on ABB RoboticsMarket Execution & Investments: collect exposures from business,



carry out the execution of financial markets transactions, including FX, interest rate, and commodity derivativesExposure Analysis & Reporting: Participate in analysing market price movements and their effects on derivative hedge contracts, supporting business units in understanding the financial implications of market rate fluctuations and hedging activities on the financial statements.Business Advisory & Stakeholder Engagement: support business teams in understanding of market exposures, hedging activities, and associated risks; collaborate closely with banking partners and internal stakeholders.Treasury Systems & Trading platform: ensure the correctness of data in Treasury Management System related to financial markets data and transactions.perform and document controls relevant for Financial Market Risk Management activities; support internal and external audit.Bachelor's in Finance, Economics, or a related field.Minimum of 5 years' experience in treasury financial markets financial risk management, ideally in a corporate environment.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., Strong business acumen, with an understanding of how market risks and hedging strategies impact business performance and financial reporting; Recognized team player with excellent collaboration, business partnering, and communication skillsProficient in oral and written EnglishPlease submit your application documents in English.We value people from different backgrounds. xlwpduy

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📌 Financial Markets Risk Specialist (Milano)
🏢 ABB
📍 Milano

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