Treasury Markets & Group Trading Risk Manager
We are seeking an experienced Treasury Markets & Group Trading Risk Manager to join a leading energy company. This is an excellent opportunity to work in a dynamic environment, managing treasury and trading risks at a group level while supporting strategic investment plans.
Responsibilities of the Role:
* Identify and manage FX, interest rate, and inflation-linked risks, ensuring alignment with Group policy.
* Execute daily FX hedging and negotiate large-scale transactions with international banking partners.
* Collaborate with business units to de-risk future investment projects and financial exposures.
* Monitor and oversee group-wide energy trading risk management in line with approved frameworks.
* Build and maintain strong relationships with financial institutions, market participants, and internal stakeholders.
The Type of Person Suited:
* A qualified accountant or CFA with 10+ years of experience in treasury or banking, ideally with a risk management focus.
* Strong transactional experience, with the ability to manage multi-disciplinary teams and influence stakeholders.
* Excellent communication and interpersonal skills, with the ability to simplify complex financial concepts.
* Proven ability to thrive in a fast-paced, evolving environment, managing multiple priorities effectively.
* A strategic thinker with a keen understanding of financial markets and a solutions-oriented approach.
If you’re looking to make an impact in a purpose-driven organization with strong career development opportunities, please apply or contact Stephen via sgilmore@elevatepartners.ie to set up a confidential conversation.
Seniority Level
Director
Employment Type
Full-time
Job Function
Accounting/Auditing, Finance, and General Business
Industries
Services for Renewable Energy, Utilities, and Real Estate
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