15 sep
|
IFF Nu0026B Iberica
|
Oviedo
15 sep
IFF Nu0026B Iberica
Oviedo
They will play a pivotal role in treasury operations, cash management, and financial risk mitigation strategies. It will be responsible for executing and managing foreign exchange trades and investment strategies, commercial paper issuance, commodities hedging and interest expense management across international markets. Strategic insights and analytical skills are critical in mitigating company exposures and supporting senior management's decision‐making process to achieve company goals. fueling sustainable growth by delivering insights, managing risk and driving value across global operations.
Executes and manages FX trades, investments, commercial paper issuances, commodity hedging, and funding transactions in line with company policies. Supports global treasury activities, including intercompany lending, borrowing, dividends, capital injections, and external financing. Monitors integral financial markets to identify risks, opportunities, and emerging trends that impact the business.
Provides market insights, recommendations, and strategic guidance to senior management and internal stakeholders. Utilizes trading platforms and analytical tools to execute transactions and monitor portfolio performance effectively. Prepares and analyzes key treasury reports, including FX dashboards, investment reports, country risk assessments, interest reports, and earnings impact analysis.
Identifies and implements process improvements, evaluates new investment opportunities, and recommends optimal funding and hedging strategies. Ensures compliance with internal policies, regulatory requirements, risk management frameworks, and ethical trading standards. Optimizes treasury performance by minimizing FX gains/losses, maximizing investment returns, reducing funding costs, managing counterparty risk, and protecting against commodity price fluctuations.
Bachelor's degree in Finance, Economics, Business Administration, or a related field.
Master's degree or MBA preferred Attention to detail and agility to execute trades accurately and timely prior to market cut‐offs Strong understanding of financial markets, trading strategies, and risk management techniques. Excellent analytical and quantitative skills, with the ability to interpret complex financial data.
Proficiency in trading platforms and financial software.
English Proficiency
Proven experience of more than 2 years in Treasury operations with knowledge of FX trading and investing preferably in a global context Knowledge of Quantum, 360T and Bloomberg systems is preferable. Demonstrated expertise in Excel and PowerPoint Working schedule within standard business hours. Flexibility to work on local bank holidays when global markets are opened Occasional travel may be required for meetings, training, or conferences.
Flexible Home Office
Opportunities - Enjoy the flexibility to work from home and maintain a healthy work‐life balance.
Training
Opportunities - Access a variety of training programs designed to enhance your skills and support your professional growth. The sale is presently expected to close in the first half of 2027, pending regulatory approvals and other closing conditions. We are a global leader in taste, scent, and nutrition, offering our customers a broader range of natural solutions and accelerating our growth strategy. com/careers/workplace-diversity-and-inclusion to learn more At IFF, we make joy through science, creativity and heart.
As the global leader in flavors, fragrances, food ingredients, health and biosciences, we deliver groundbreaking, sustainable innovations that elevate everyday products - advancing wellness, delighting the senses and enhancing the human experience. We consider all qualified candidates equally and based on merit, without regard to religion, ethnicity, national origin, race, age, veteran status, gender identity or expression, sexual orientation or disability.
📌 Trader (FX & Investments) (Oviedo)
🏢 IFF Nu0026B Iberica
📍 Oviedo