Manager, Foreign Exchange Risk Management Location: Skokie, IL or Southfield, MI (Hybrid) DRiV, Tenneco's Aftermarket business group, is a global leader with top-three market share positions across ...
Manager, Foreign Exchange Risk Management Location: Skokie, IL or Southfield, MI (Hybrid) DRiV, Tenneco's Aftermarket business group, is a global leader with top-three market share positions across ...
$175K - $225K/yr
Cross-selling experience of the following commercial banking products: (treasury management, hedging, capital markets, foreign exchange) * Effective writing and communication skills * Formal credit ...
$175K - $225K/yr
Cross-selling experience of the following commercial banking products: (treasury management, hedging, capital markets, foreign exchange) * Effective writing and communication skills * Formal credit ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
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Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
Treasury Director
Detroit, MI · On-site
They will be responsible for managing banking relationships, mitigating financial risks like foreign exchange fluctuations, and ensuring regulatory compliance. ESSENTIAL DUTIES & RESPONSIBILITIES ...
The team you will be a part of The Finance General team manages the planning and direction of ... Identify, aggregate, and analyze global foreign exchange (FX) and commodity price exposures across ...
The team you will be a part of The Finance General team manages the planning and direction of ... Identify, aggregate, and analyze global foreign exchange (FX) and commodity price exposures across ...
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
East Lansing, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
East Lansing, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
Grand Rapids, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
Grand Rapids, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
Grand Rapids, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
Senior Business Banking Relationship Manager - Grand Rapids or East Lansing, MI
Grand Rapids, MI · On-site
Collaborates with local market stakeholders and teammates throughout the bank, including Investment Banking, Foreign Exchange, and Wealth Management and facilitates client relationships with Product ...
The team you will be a part of The Treasury team performs treasury operations involving cash funds, foreign exchange, debt and capital management. Ensures that financial transactions, policies, and ...
The team you will be a part of The Treasury team performs treasury operations involving cash funds, foreign exchange, debt and capital management. Ensures that financial transactions, policies, and ...
Experience with cash management, foreign exchange, debt capital markets, or interest rate risk management * Ability to travel 40%, on average, based on the work you do and the clients and industries ...
Experience with cash management, foreign exchange, debt capital markets, or interest rate risk management * Ability to travel 40%, on average, based on the work you do and the clients and industries ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids...
Grand Rapids, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids...
Grand Rapids, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids...
Detroit, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids...
Detroit, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids/De
Grand Rapids, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Relationship Manager Development Program - Global Commercial Banking (Middle Market) Grand Rapids/De
Grand Rapids, MI · On-site
Collaborates with domestic and international teammates throughout Bank of America, including Investment Banking, Foreign Exchange, and Wealth Management * Facilitates client relationships with ...
Experience with cash management, foreign exchange, debt capital markets, and interest rate risk management * Experience supporting sales pursuits, proposal development, and practice development ...
Experience with cash management, foreign exchange, debt capital markets, and interest rate risk management * Experience supporting sales pursuits, proposal development, and practice development ...
Cross-sell banking services including treasury management, interest rate protection, and syndication products and capabilities (foreign exchange & commodity hedging is a plus) * Recognize issues ...
Cross-sell banking services including treasury management, interest rate protection, and syndication products and capabilities (foreign exchange & commodity hedging is a plus) * Recognize issues ...
Cross-sell banking services including treasury management, interest rate protection, and syndication products and capabilities (foreign exchange & commodity hedging is a plus) * Recognize issues ...
Cross-sell banking services including treasury management, interest rate protection, and syndication products and capabilities (foreign exchange & commodity hedging is a plus) * Recognize issues ...
Foreign Exchange Manager information
What does a foreign exchange manager do?
How does a foreign exchange manager typically collaborate with other departments within a financial institution?
What are the key skills and qualifications needed to thrive as a foreign exchange manager, and why are they important?
What is the difference between Foreign Exchange Manager vs Currency Analyst?
| Aspect | Foreign Exchange Manager | Currency Analyst |
|---|---|---|
| Required Credentials | Bachelor's degree in finance, economics, or related field; certifications like CFA are common | Bachelor's or master's in finance, economics, or related; CFA often preferred |
| Work Environment | Financial institutions, corporate treasury departments, banks | Financial research firms, banks, investment companies |
| Employer & Industry Usage | Used in banking, corporate finance, and treasury management | Used in market analysis, investment research, and trading |
While both roles involve currency and foreign exchange, the Foreign Exchange Manager primarily oversees currency risk management and trading operations within organizations, whereas the Currency Analyst focuses on analyzing currency market trends and providing forecasts. The roles often overlap in skills and industry settings, but their core responsibilities differ in strategic management versus market analysis.
Is a foreign exchange manager a good job?
What is a foreign exchange manager?
What is the role of foreign exchange management?
What are the most commonly searched types of Foreign Exchange jobs in Michigan?
The most popular types of Foreign Exchange jobs in Michigan are:
What are popular job titles related to Foreign Exchange Manager jobs in Michigan?
For Foreign Exchange Manager jobs in Michigan, the most frequently searched job titles are:
What job categories do people searching Foreign Exchange Manager jobs in Michigan look for?
The top searched job categories for Foreign Exchange Manager jobs in Michigan are:
What cities in Michigan are hiring for Foreign Exchange Manager jobs?
Cities in Michigan with the most Foreign Exchange Manager job openings:
Manager, Foreign Exchange Risk Management
Southfield, MI • Hybrid
Full-time
Posted 25 days ago
Job description
Manager, Foreign Exchange Risk Management
Location: Skokie, IL or Southfield, MI (Hybrid)
DRiV, Tenneco's Aftermarket business group, is a global leader with top-three market share positions across most of our product categories.
As a premier "House of Brands," DRiV represents more than 30 of the world's most trusted aftermarket names, including Monroe, MOOG, Wagner, Walker, FelPro, Champion, Ferodo, Payen, and others, many with more than 100 years of heritage.
Our scaled and differentiated capabilities allow regional business lines to serve customers with precision while leveraging global manufacturing, engineering, and distribution strength. Approximately 75% of our revenue is positioned as a #1 brand within its product category.
Across shocks & struts, steering & suspension, braking, sealing, engine, emissions, and ignition systems, DRiV delivers quality, performance, and value that customers rely on worldwide.
At DRiV, we win through execution, innovation, and the power of our brands.
Position Summary
DRiV is seeking a highly motivated Manager, Foreign Exchange Risk Management to establish and lead the Company's enterprise-wide Foreign Exchange (FX) Risk Management program. Reporting to the Executive Director, Risk Management, this newly created role will be responsible for designing and implementing DRiV's global FX risk management framework, developing hedging strategies, executing derivative transactions, and providing financial analysis to support business decision-making.
The successful candidate will play a key role in developing Treasury's financial risk management capabilities while supporting broader treasury initiatives including liquidity management, debt financing, banking relationships, and treasury transformation.
Key Responsibilities
Foreign Exchange Risk Management
- Develop and implement DRiV's global Foreign Exchange Risk Management program.
- Establish policies, procedures, and governance for identifying, measuring, monitoring, and managing foreign currency exposures.
- Partner with business units to identify transactional, translational, and economic foreign exchange exposures. Develop and maintain enterprise-wide FX exposure reporting and analytics.
- Recommend appropriate hedging strategies based on the Company's risk appetite and Treasury policies.
- Execute foreign exchange hedge transactions, including forwards, swaps, and options, in accordance with approved Treasury policies.
- Maintain derivative documentation and support hedge accounting requirements in partnership with Accounting.
- Prepare monthly and quarterly FX exposure reports for Treasury leadership and executive management.
- Support earnings guidance and financial disclosures related to foreign exchange.
Treasury Strategy & Capital Markets Support
- Partner with the Executive Director, Risk Management on enterprise financial risk management initiatives.
- Assist with debt financing, refinancing, and capital markets transactions involving foreign currency exposure.
- Evaluate opportunities to optimize natural hedging strategies and balance sheet management.
- Support bank relationship management related to foreign exchange products and services.
Treasury Governance & Policy Development
- Develop Treasury policies governing financial risk management.
- Establish governance processes for hedge approvals, documentation, and compliance.
- Partner with Treasury operations to ensure compliance with internal controls, delegated authority, SOX requirements, and accounting standards.
- Support internal and external audits related to Treasury and derivatives activities.
Leadership & Development
- Provide leadership and technical guidance to Treasury Analyst supporting financial risk management.
- Foster a culture of continuous improvement, collaboration, and professional development.
Education
- Bachelor's degree in Finance, Economics, Business Administration, Accounting, or a related field.
- MBA, Master's in Finance, CFA, CTP, FRM (Financial Risk Manager), or equivalent professional certification preferred.
Qualifications
- 7+ years of progressive experience in Treasury, Capital Markets, Financial Risk Management, Corporate Finance, Investment Banking, or FP&A.
- Experience managing foreign exchange exposures and executing derivative transactions.
- Strong understanding of global financial markets, foreign exchange products, and hedging strategies.
- Knowledge of hedge accounting (ASC 815 or IFRS equivalent) and collaboration with Accounting teams.
- Experience developing financial models, scenario analyses, and executive reporting.
- Advanced proficiency in Excel; experience with Power BI, Bloomberg, Reuters, Kyriba, FXall, or similar Treasury platforms is preferred.
- Strong analytical, project management, and communication skills.
- Ability to influence stakeholders and communicate complex financial concepts to non-technical audiences.
Compensation: The base pay for this position generally ranges between $110,000 - $145,000. Additional incentives may be provided as part of a market competitive total compensation package. Factors, such as but not limited to, geographical location, relevant experience, education, and skill level may impact the pay for this position.Â
Why Join DRiV?
This is a unique opportunity to build DRiV's Foreign Exchange Risk Management program from the ground up as the Company establishes itself as an independent global enterprise. As Manager, Foreign Exchange Risk Management, you will play a pivotal role in shaping the Company's approach to managing financial market risk while partnering with senior leaders across Treasury, Finance, Accounting, Tax, and Operations.
Unlike traditional FX roles focused primarily on trade execution, this position offers the opportunity to design strategy, implement governance, leverage technology, and influence enterprise-wide financial decisions.
About DRiV
Sourced by ZipRecruiter
Industry
Motor vehicle manufacturing
Company size
10,000+ Employees
Headquarters location
Northville, MI, US