Head of Financial Markets Risk Management
vor 20 Stunden
**Head of Financial Markets Risk Management**:
**Take your next career step at ABB with a global team that is energizing the transformation of society and industry to achieve a more productive, sustainable future. At ABB, we have the clear goal of driving diversity and inclusion across all dimensions: gender, LGBTQ+, abilities, ethnicity and generations. Together, we are embarking on a journey where each and every one of us, individually and collectively, welcomes and celebrates individual differences.**:
In this role, you are globally responsible for Financial Risk Management process design, implementation, exposure analysis and transactional execution for the ABB Group as part of Corporate Treasury’s global mandate. You are the owner of several end-to-end processes which identify financial market exposures to changes in foreign exchange rates, interest rates and commodity prices as well as financial counterparty risk and related risk management activities. You are responsible for both strategically analyzing these risks in light of ABB’s exposures and business models implementing global domain best practices. You will manage a specialist team responsible for making derivative risk management execution and investment decisions for the ABB Group. The financial exposures range from ABB Group’s full range of transactional and translational foreign exchange risks to liability management of the ABB Group’s debt portfolio to operational interest rate, foreign currency, and commodity risks. You are also responsible for managing the ABB Group liquidity globally including liquidity cash investments and short term funding and developing and implementing an optimized investment strategies within defined low risk parameters of ABB corporate cash. As the main interface between ABB and the external financial markets, your team is also the central contact for most financial markets activities of ABB businesses and group companies and provide related high quality advisory, risk management and hedge analysis. You will report to Corporate Treasurer of ABB Group and are a member of Corporate Treasury Leadership Team.
**Your responsibilities**:
- Establish and develop appropriate foreign exchange hedging programs for ABB Group and actively structure and implement risk management strategies for ABB Group’s liability portfolio and oversee and hedge all ABB Group Companies with respect to their financial risk exposures in foreign exchange and commodities
- Centralize the execution of all ABB financial market dealing vis-à-vis banks and oversee the management of ABB Group internal funding and liquidity management (short term loans and deposits)
- Responsible for global execution of short-term issuance of Commercial Paper and manage the ABB Group’s surplus liquidity with a liquid, low risk profile
- Ensure high performance policies, processes, and standardized operating models with appropriate internal controls and reporting for financial markets risk management together with Treasury Global Process Owner and Middle Office
- Define and monitor financial markets risk management transitional and operational Key Performance Indicators
- Effectively manage foreign exchange, interest rate and commodity risks and create added value by netting exposures and managing Group exposures within predefined limits
- Contribute to inter-company netting; In-house bank solutions; management of unique financial flows (e.g. dividend, M&A related, etc.); treasury management system upgrades and SAP S4Hana Central Finance-related exposure management projects
- Consult with Treasury Business Partners and Businesses to review and optimize the management of foreign exchange and commodity risks and recommend hedging solutions to minimize risk and volatility at appropriate business materiality level
- Understand foreign exchange and commodity market price movements and their associated effects on the valuation of outstanding derivative hedge contracts and be able to explain the related impacts to accounting, income statement and cash flows
- Contribute to foreign exchange and commodity specific aspects of M&A activities (divestments, acquisitions) and other Group projects, e.g. changes in legal entity structures and provide expert advice on core Treasury Group policies and manage any exception requests and approvals. Ensure understanding of best practice alternatives in financial markets risk management by actively benchmarking with other peer corporates and banks
- Manage Corporate Treasury’s financial markets risks and manage and optimize ABB’s Financial Income & Expense in Income Statement
- Interact with colleagues from different Corporate Treasury departments to enable a smooth end-to-end process flow in transaction management and represent Financial Markets Risk Management in Corporate Treasury Leadership Team
**Your background**:
- University degree (Bachelor/Master) in Finance or Business
- Minimum 12 years treasury experience in
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