04 ago - Italia
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Experteer Overview In this role within ABB Robotics, you will strengthen Financial Markets Risk Management by analyzing exposures, developing risk mitigation strategies, and executing transactions aligned with risk frameworks. You'll support cross‐functional teams, collaborate with banking partners, and uphold data integrity in treasury systems. The position combines risk oversight with market execution, contributing to the stability and growth of the robotics business in a fast‐moving, innovation‐driven environment. A key hook is ABB's strategic Robotics chapter and the ongoing SoftBank partnership, offering a unique platform to shape how we hedge global exposures.
Retribuzione / Benefits Market Risk Strategy & Oversight: develop global perspective on financial market risks and their impact on ABB Robotics
Market Execution & Investments: execute FX, interest rate, and commodity derivative transactions based on exposure data
Exposure Analysis & Reporting: analyze market movements and effects on hedge contracts, informing business units
Business Advisory & Stakeholder Engagement: educate business teams on market exposures and hedging with banking partners
Treasury Systems & Trading Platform: maintain data accuracy in the Treasury Management System for markets data and transactions
Controls & Compliance: ensure regulatory and internal policy adherence; support audits
Responsabilità Bachelor in Finance
5-9 years' experience in treasury, financial markets, or banking
Solid knowledge of derivatives and financial instruments (FX, rates, commodities) with understanding of risks
Knowledge of Treasury Management System (e.g., Kyriba) and Trade/Risk Systems (e.g., FXALL, Refinitiv Workspace)
Business acumen to connect market risks with business performance and accounting
Strong analytical skills and structured problem‐solving
Proficient in oral and written English
Team player with collaboration and communication skills
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