Foreign Exchange (FX) Treasury Manager at Vwr | Torre

Foreign Exchange (FX) Treasury Manager

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Full-time

Legal agreement: To be defined

USD75.4K - 100K/year

~COP150M - 200M/year

+ Equity

+ Bonuses

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Hybrid (Radnor, PA)
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Posted about 2 years ago

Requirements and responsibilities


- Avantor's Tax vertical is a crucial part of the talent acquisition initiatives, enabling all internal teams worldwide to grow beyond their limits. - The position offers a hybrid work model, with 3 days per week onsite in Radnor, PA. - Avantor is committed to diversity, equity, and inclusion, providing learning experiences to support career growth and success. Avantor is seeking a Foreign Exchange (FX) Treasury Manager to manage the Corporate's Foreign Exchange (FX) Risk Management function. The role involves exposure analysis, forecasting, modeling, reporting, accounting proposals and review, maintaining a hedge portfolio, and supporting other Corporate Treasury processes. The ideal candidate will have 8+ years of experience, with 4+ years in accounting for foreign currency and FX derivatives. Familiarity with SAP, SAP Treasury, Hyperion, Blackline, and Bloomberg is preferred. The role requires strong communication, negotiation, and leadership skills, as well as a full understanding of Foreign Exchange and US GAAP. The candidate should be self-motivated, organized, and able to work in a multi-cultural environment. Responsibilities include assessing global subsidiary balance sheet positions, implementing FX hedging strategy, collaborating with Treasury, FP&A, and Accounting, preparing FX analytical reporting, ensuring compliance with internal controls, and identifying opportunities for finance transformation and automation. The role offers the opportunity to contribute to life-changing science and grow in a diverse, equitable, and inclusive culture at Avantor. Responsibilities: - Manage Avantor’s Corporate's Foreign Exchange (FX) Risk Management function - Assess global subsidiary balance sheet positions to identify and enumerate FX exposures - Liaise with Treasury, FP&A and Accounting to implement FX hedging strategy - Partner with Treasury, FP&A and Accounting to develop and implement FX Risk management standard methodologies, policies and strategies - Collaborate with Accounting for all Treasury related derivative activity - Prepare FX analytical reporting required to effectively monitor foreign exchange risk - Ensure compliance with internal controls, policies and procedures impacting FX transaction management activities - Propose the design and implement new controls and processes where required - Identify opportunities for finance transformation, modernization and automation - Actively collaborate with Accounting teams to transfer knowledge on FX derivative transactions
Optionally, you can add more information later (benefits, pre-screening questions, etc.)
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