Treasury Director, Financial Risk Management at FMC Technologies in Houston, TXother related Employment listings - Houston, TX at Geebo

Treasury Director, Financial Risk Management at FMC Technologies in Houston, TX

The FMR Director will be responsible, directly or indirectly, for the full stream of the risk management cycle, including hedging, where applicable, using financial derivatives. To these ends, the FMR Director will directly supervise a Corporate Treasury team, but will also indirectly oversee certain activities, including exposure identification and/or hedging, conducted by Regional Treasury and other Finance staff around the world. As subject matter expert, s/he will be expected to help guide decision-making on related matters beyond Treasury and must demonstrate the executive presence and communication skills to partner effectively with a wide network across the company. The successful candidate will possess the domain expertise to speak on matters of financial market risk management with functional authority and the executive presence to represent Treasury within the company and to represent the company with banks and other external stakeholders. Furthermore, s/he will lead by example within the Finance organization and will actively embody the four areas of TechnipFMC's Leadership Talent Assessment:
People - manage with authenticity & respect; lead with courage; empower & develop people Strategic Thinking - have a global perspective; embrace innovation; adopt a pioneer mindset Results - be customer-centric; lead change; drive results faster Agility - manage complexity; demonstrate learning agility; create inclusive culture Job description Global oversight of financial market risk management activities, including:
exposure identification, hedge proposal & review, hedge execution and hedge portfolio management Quantification and reporting of enterprise risk and results across FMR portfolios with respect to earnings, cash flow and other financial metrics, including use of risk measurement techniques (e.g., factor sensitivity analysis and value-at-risk) Risk advisory and bid review for commercial teams Supervision, talent development and coaching of team members You are meant for this job if Bachelor's degree or equivalent (minimum), with preference in economics, finance or accounting MBA or Masters in Finance (preferred) 10
years of experience working in finance with at least three years in a treasury or related finance role Direct expertise with best practices for Financial Market Risk Management, including hedging, valuation of forward- and option-based derivatives, and foreign exchange and interest rate market protocols Direct experience with treasury systems (e.g., Kyriba, ION/WSS, FIS) or ERP treasury modules and with market rates & trading systems (e.g., Reuters, Bloomberg, FXall) Familiarity with applicable principles of financial accounting (ASC 815, 830) and internal control (SOX) Experience leading a team and managing individuals, with at least five years of team leadership experience Ability to translate complexity into simplicity and to communicate across levels Ability to prioritize, self-organize and self-motivate Ability to build networks with business partners across the organization CFA, CTP or CPA, or comparable local credentials (preferred)
Salary Range:
$200K -- $250K
Minimum Qualification
Corporate Finance, Risk & Quantitative AnalysisEstimated Salary: $20 to $28 per hour based on qualifications.

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