Corporate Finance Manager - 1
GB
Corporate Finance Manager
More about the Role
- Support the identification, measurement and monitoring of financial risks, including FX, interest rate, commodity price exposure and counterparty credit risk.
- Assist in developing and executing the Group’s hedging strategy across FX, interest rate and commodity exposures, ensuring alignment with the Group’s risk appetite.
- Prepare commodity risk analysis, including exposure mapping, sensitivity modelling and scenario analysis.
- Monitor hedge effectiveness for commodity and financial derivatives, preparing clear reporting for senior stakeholders.
- Manage Regional‑level funding activities, such as bank loans, revolving credit facilities, guarantees and trade finance instruments etc.
- Support capital structure planning and funding strategy development.
- Maintain strong banking relationships, supporting negotiations on pricing, facilities and credit terms.
- Oversee treasury‑related front‑, middle‑ and back‑office controls (excluding cash management).
More about the Role
- Bachelor’s degree in Business Administration, Finance, Economics or related field
- Minimum 10 years of experience in corporate finance and structured financing instruments
- Having British citizenship or approved work permit in UK
- Ability to work and comfortable in a multi-cultural (cross border) matrix environment; experience in an international organization will be beneficial
- Ability to communicate with 3rd party financial experts and regulatory bodies
- Proficiency in MS Office (Especially MS Excel skills) and SAP applications
- Applies analytical thinking and attention to detail to identify and implement sustainable solutions to problems
- Fluent in English, both written and verbal
- Role is Hybrid - 80% on-site;
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Corporate Finance, ERP, Bank, Banking, SAP, Finance, Technology