Dynamic Monitoring and Analysis
Monitor changes in foreign exchange policies and environments in countries and regions where the group operates, analyze foreign exchange market trends, regularly prepare foreign exchange exposure and foreign exchange gain/loss analysis reports, provide timely feedback, and offer professional advice on exchange rate risk prevention.
Foreign Exchange Risk Identification and Management
Fully identify, monitor, and manage the group's foreign exchange risk exposure, develop short, medium, and long-term risk management strategies, and manage foreign currency assets and liabilities as well as foreign exchange cash flow hedging operations. Control foreign exchange gain/loss fluctuations from a financial statement perspective, and employ various tools to hedge the group's foreign exchange risks and mitigate the impact of exchange rate fluctuations.
Currency Management and Investment Optimization
In line with the group's international layout and capital arrangements, unify management of foreign currency positions, optimize currency portfolio configurations to effectively control bundled currency depreciation risks, actively capture trading opportunities, and appropriately use derivative tools for foreign currency investments to preserve and enhance foreign currency funds.
Establishing Foreign Exchange Risk Management System
Establish and improve the foreign exchange risk management system, including institutional processes, system building, and visualization reports; oversee the daily transactions of the foreign exchange management team and support the foreign currency settlement needs of various business units.
Support for International Business Expansion
Participate in the group's international business expansion, provide foreign exchange risk management guidance to overseas regional companies, evaluate currency settlement clauses in business contracts, and suggest optimization measures and countermeasures.
Requirements:
Education
Bachelor’s degree or above in finance, economics, or related fields.
Work Experience
More than 5 years of relevant experience in foreign exchange management in large multinational enterprises or related experience in foreign exchange hedging/hedging transactions in financial institutions or foreign banks.
Market Familiarity
Familiar with international financial markets and foreign exchange markets, with good market sensitivity and risk management skills.
Skills and Abilities
Good communication skills and access to information resources, strong data analysis and logical thinking abilities, proficiency in foreign exchange hedging strategies, and the ability to independently produce analysis reports.
Software and Certifications
Proficient in various office and financial software; relevant certifications (such as CFA, FRM, etc.) are preferred, and the ability to use mathematical models (such as the BS model) for modeling analysis is preferred.
Language Skills
Excellent English proficiency, capable of using it as a working language.
How to Apply
If you have a passion for customer service and the ability to lead a team to success, please submit your resume and a cover letter to kat.chen@manpowergrc.hk
Banking & Financial Services, Executive & Management, Full Time
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