Corporate Treasury Risk Manager - Morimondo, Italia - Stella McCartney Ltd

Stella McCartney Ltd
Stella McCartney Ltd
Azienda verificata
Morimondo, Italia

1 settimana fa

Piero Bianchi

Inviato da:

Piero Bianchi

Reclutatore di talenti per beBee


Descrizione
Working at Stella McCartney is a truly rewarding experience. As a luxury fashion company with a strong ethical standpoint we are leaders and innovators in our industry._


Overview:


Reporting to the Worldwide Treasury Director, the Corporate Treasury Risk Manager, will be asked to contribute to the company's success acting as treasury business partner supporting the business for any letter of credit or trade finance activity and ensuring that proper financial risk management policies and controls are in place to support business global operations.

The Corporate Treasury Risk Manager will be mainly focused on all aspects of trade finance, Insurance and foreign exchange risk management activities.

The company is seeking a Treasury professional to serve as Treasury Risk Manager for its Group Corporate Treasury & Insurance department, joining a small Corporate Treasury team of 3.

This role is an 8 month fixed term contract, based in Italy.


Your Mission:

  • Key contact for any trade finance activity with a special focus on Letter of Credit Export
  • Financial transaction execution (back up)
  • Daily/Monthly FX exposure monitoring and reporting
  • Monitoring local bank charges (with particular focus on trade finance bank charges)
  • IT Administrator (back up for the Treasury Analyst based in London)
  • Supporting the WW Treasury Director to set up and maintain a global Insurance program to protect the company's financial well being
  • Overseeing credit insurance global program
  • Managing the insurance monthly claim report
  • Contribute on related specific treasury month end closing activities (back up)
  • Manage the employee credit cards program (Stella McCartney Italia Srl)
  • Managing front office hedging activities under the supervision of the WW Treasury Director (based in London) and in accordance with the group financial risk management policy to be implemented
  • Assist in creating and maintaining treasury specific management information including helping to build & monitor the FX P&L to ensure the effectiveness of the process
  • Ensures compliance with EMIR and other rules governing any FX & MM transactions once new risk framework will be implemented
  • Contribution to any Treasury project and monthly treasury reporting

Your Talent:

  • Fluent in English
  • Bachelors in Finance, Accounting, Economics (Master Degree, Treasury ACT or equivalent qualification would be beneficial)
  • Minimum 5 years Corporate Treasury experience
  • Must have previous Letter of Credit management experience
  • Knowledge of hedging instruments, FX strategy and market
  • Excellent attention to detail
  • A keen interest in Treasury
  • Critical thinking skills
  • Good numeracy and analytical skills as well as IT literacy
  • Ability to thrive in a collaborative environment
  • Ability to handle multiple tasks under tight deadlines


We welcome people with disabilities and endeavour to make reasonable adjustments, if you do require such adjustments please let us know within 48 hours of your interview.


  • At Stella McCartney, we like to be bold. For us this means challenging ourselves and the wider industry in which we operate. As part of our commitments to inclusive fashion, we have an ambitious strategy to put diversity, equity and inclusion at the centre of everything we do. Our starting point is to create a workplace where different voices are respected, heard and empowered in equal measure regardless of factors such as culture and backgrounds, and to influence and disrupt fashion and other industries by providing opportunities for global diverse talent to shine._

Altri lavori da Stella McCartney Ltd