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Title
Text copied to clipboard!Currency Manager
Description
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We are looking for a talented and experienced Currency Manager to join our financial team. In this role, you will be responsible for managing currency risks, developing and implementing hedging strategies, and monitoring global foreign exchange markets. You will work closely with treasury, accounting, and financial planning teams to ensure effective management of the company’s currency exposure.
Key responsibilities include analyzing currency exposure, developing policies and procedures for managing currency risk, and maintaining relationships with financial institutions and FX service providers. You will also be involved in strategic decision-making regarding currency conversions, foreign currency investments, and optimizing international cash flows.
The ideal candidate has a strong understanding of currency markets, experience using financial derivative instruments, and excellent analytical and decision-making skills. A solid knowledge of international financial regulations and relevant accounting standards is essential.
This position offers the opportunity to work in a dynamic and international environment, with professional development opportunities and a direct contribution to the financial success of the organization.
Responsibilities
Text copied to clipboard!- Analyze the company’s currency exposure
- Develop and implement currency hedging strategies
- Monitor foreign exchange markets and global economic trends
- Manage relationships with banks and FX service providers
- Optimize international cash flows
- Report currency risks to senior management
- Ensure compliance with international financial regulations
- Collaborate with accounting and treasury teams
- Evaluate the performance of currency strategies
- Participate in foreign currency investment decisions
Requirements
Text copied to clipboard!- Bachelor’s degree in finance, economics, or related field
- Minimum 3 years of experience in FX or treasury
- Strong knowledge of currency markets and derivative instruments
- Analytical and decision-making skills
- Advanced Excel and financial software proficiency
- Ability to work under pressure and meet deadlines
- Excellent communication and collaboration skills
- Knowledge of international financial regulations
- Advanced English proficiency
- Attention to detail and results-oriented
Potential interview questions
Text copied to clipboard!- What experience do you have managing currency risks?
- How have you implemented a hedging strategy in the past?
- What financial derivative instruments have you used?
- How do you monitor currency markets?
- How do you collaborate with other departments to manage FX exposure?
- What financial software have you used previously?
- How do you handle pressure during currency volatility?
- What international regulations are relevant to this role?
- How do you evaluate the effectiveness of a currency strategy?
- Which currencies do you consider most volatile currently?