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Manager, Currency Risks

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Job Description - Manager, Currency Risks

Lead the global currency transaction (balance sheet) and translation (cash flow) hedging programs for a company with $16B+ revenue, marketing products in over 120 countries. Manage a Treasury Analyst, overseeing the execution of the transaction hedging program. Monitor and analyze currency exposures across more than 80 entities and 50 currencies, ensuring timely and strategic risk mitigation. Present insights and recommendations to senior management during quarterly financial risk reviews. Develop, recommend, and implement effective hedging strategies aligned with corporate financial goals. Provide risk management guidance to business units, supporting strategies that reduce exposure and maintain liquidity objectives. Measure and report on hedging program performance, offering actionable insights for continuous improvement. Collaborate with accounting, tax, legal, and other departments to align risk management initiatives. Identify and recommend process improvements to enhance efficiency and effectiveness. Bachelor's degree in corporate finance, accounting or a related field. Minimum of 8 years of relevant treasury and finance experience, including currency management experience. Minimum 3 days per week on-site in the Marlborough office. MBA, MSF, or a related advanced degree or designation. Prior people leadership experience. Deep expertise in currency risk management strategies and derivative accounting requirements. Strong understanding of treasury systems, policies, and procedures in a global business environment. Knowledge of tax planning strategies related to currency risk management. Proven project management, organizational, and analytical skills. Excellent verbal and written communication abilities. Demonstrated proficiency with relevant financial and analytical software, such as SAP and Hyperion.
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