... Rate hedge programs - including hedge designation, effectiveness testing methodology, de ... Guide clients through structuring new FX and Interest Rate hedging relationships to achieve ...
... Rate hedge programs - including hedge designation, effectiveness testing methodology, de ... Guide clients through structuring new FX and Interest Rate hedging relationships to achieve ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$85K - $174K/yr
You will join a team of traders responsible for Corporate Treasury's derivatives hedging program ... FX exposure. * Monitor Schwab's interest rate derivatives portfolio, BDA investments and hedge ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$85K - $174K/yr
You will join a team of traders responsible for Corporate Treasury's derivatives hedging program ... FX exposure. * Monitor Schwab's interest rate derivatives portfolio, BDA investments and hedge ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$75/hr
You will join a team of traders responsible for Corporate Treasury's derivatives hedging program ... FX exposure. * Monitor Schwab's interest rate derivatives portfolio, BDA investments and hedge ...
Manager Balance Sheet Strategy - Interest Rate Derivatives, Hedging and BDA Management
Lone Tree, CO · On-site
$75/hr
You will join a team of traders responsible for Corporate Treasury's derivatives hedging program ... FX exposure. * Monitor Schwab's interest rate derivatives portfolio, BDA investments and hedge ...
VP, Group Treasury, Investment Office, Dubai, UAE
North Bend, WA · On-site
$250 - $350/hr
Execute and manage the Group's FX hedging programme, including spot, forwards, swaps, collateral management, and ISDA/CSA documentation * Monitor market and macroeconomic developments and assess ...
VP, Group Treasury, Investment Office, Dubai, UAE
North Bend, WA · On-site
$250 - $350/hr
Execute and manage the Group's FX hedging programme, including spot, forwards, swaps, collateral management, and ISDA/CSA documentation * Monitor market and macroeconomic developments and assess ...
Global Treasury Manager
Thousand Oaks, CA · On-site
Build and continually enhance all aspects of our FX hedging program including strategies, policies and systems/operations, performance and risk metrics * Manage a portfolio of derivatives hedging ...
Global Treasury Manager
Thousand Oaks, CA · On-site
Build and continually enhance all aspects of our FX hedging program including strategies, policies and systems/operations, performance and risk metrics * Manage a portfolio of derivatives hedging ...
Global Treasury Manager
Thousand Oaks, CA · On-site
Build and continually enhance all aspects of our FX hedging program including strategies, policies and systems/operations, performance and risk metrics * Manage a portfolio of derivatives hedging ...
Global Treasury Manager
Thousand Oaks, CA · On-site
Build and continually enhance all aspects of our FX hedging program including strategies, policies and systems/operations, performance and risk metrics * Manage a portfolio of derivatives hedging ...
Head of Treasury Markets
San Francisco, CA · On-site
$266K - $295K/yr
FX & Cash Flow Hedging * Design and operate FX balance sheet and cash flow hedging programs that align exposure management, hedge objectives, accounting treatment, tax considerations, controls, and ...
Head of Treasury Markets
San Francisco, CA · On-site
$266K - $295K/yr
FX & Cash Flow Hedging * Design and operate FX balance sheet and cash flow hedging programs that align exposure management, hedge objectives, accounting treatment, tax considerations, controls, and ...
Develop accounting playbooks for significant treasury transactions, including debt issuance, refinancing, covenant-related activity, hedging programs, FX remeasurement, cash pooling, intercompany ...
Develop accounting playbooks for significant treasury transactions, including debt issuance, refinancing, covenant-related activity, hedging programs, FX remeasurement, cash pooling, intercompany ...
Develop accounting playbooks for significant treasury transactions, including debt issuance, refinancing, covenant-related activity, hedging programs, FX remeasurement, cash pooling, intercompany ...
Develop accounting playbooks for significant treasury transactions, including debt issuance, refinancing, covenant-related activity, hedging programs, FX remeasurement, cash pooling, intercompany ...
Senior Financial Analyst
$84K - $105K/yr
Administer inter company loans portfolio and manage inter company FX hedging program * Provide analytical support for Board, Rating Agency and management presentations * Analyze pension benefits and ...
Senior Financial Analyst
$84K - $105K/yr
Administer inter company loans portfolio and manage inter company FX hedging program * Provide analytical support for Board, Rating Agency and management presentations * Analyze pension benefits and ...
Treasury Analyst
House, NM · Hybrid
... programme, FX/Money Market settlements and daily cash management data preparation and reporting ... Front Office Support - Analyzing subsidiaries FX exposures to ensure effective hedging. Monitoring ...
Treasury Analyst
House, NM · Hybrid
... programme, FX/Money Market settlements and daily cash management data preparation and reporting ... Front Office Support - Analyzing subsidiaries FX exposures to ensure effective hedging. Monitoring ...
Treasury Analyst
House, NM · Hybrid
... programme, FX/Money Market settlements and daily cash management data preparation and reporting ... Front Office Support - Analyzing subsidiaries FX exposures to ensure effective hedging. Monitoring ...
Treasury Analyst
House, NM · Hybrid
... programme, FX/Money Market settlements and daily cash management data preparation and reporting ... Front Office Support - Analyzing subsidiaries FX exposures to ensure effective hedging. Monitoring ...
Define and own the practice's overarching strategy and methodology for how we advise clients on FX and Interest Rate hedge programs - setting the standards, frameworks, and technical positions the ...
Define and own the practice's overarching strategy and methodology for how we advise clients on FX and Interest Rate hedge programs - setting the standards, frameworks, and technical positions the ...
Professional Services Consultant, Risk
Manhattan, NY · On-site
$112 - $140/hr
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end‑to‑end FX workflows: trade capture ...
Professional Services Consultant, Risk
Manhattan, NY · On-site
$112 - $140/hr
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end‑to‑end FX workflows: trade capture ...
Head of Managed Services
Chicago, IL · On-site
Define and own the practice's overarching strategy and methodology for how we advise clients on FX and Interest Rate hedge programs - setting the standards, frameworks, and technical positions the ...
Head of Managed Services
Chicago, IL · On-site
Define and own the practice's overarching strategy and methodology for how we advise clients on FX and Interest Rate hedge programs - setting the standards, frameworks, and technical positions the ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Design and implement FX hedging strategies aligned with client risk policies, including cash flow and balance sheet hedging programs * Streamline end-to-end FX workflows: trade capture, confirmations ...
Senior Vice President, Technical Accounting
Manhattan, NY · Hybrid
$102K - $196K/yr
... Cross-Currency swaps and FX Forwards) * Ensuring timely creation and approval of Hedge ... Lead partner in implementation of new hedge programs, ensuring accounting systems appropriately ...
Senior Vice President, Technical Accounting
Manhattan, NY · Hybrid
$102K - $196K/yr
... Cross-Currency swaps and FX Forwards) * Ensuring timely creation and approval of Hedge ... Lead partner in implementation of new hedge programs, ensuring accounting systems appropriately ...
Hedging Program Fx information
See salary details
$10.58 - $13.48
22% of jobs
$13.76 is the 25th percentile. Wages below this are outliers.
$13.48 - $16.39
37% of jobs
$16.39 - $19.30
12% of jobs
$21.02 is the 75th percentile. Wages above this are outliers.
$19.30 - $22.20
9% of jobs
$22.20 - $25.11
10% of jobs
$25.11 - $28.02
3% of jobs
$28.02 - $30.92
2% of jobs
$30.92 - $33.83
2% of jobs
$33.83 - $36.74
2% of jobs
$36.74 - $39.64
1% of jobs
$39.64 - $42.55
1% of jobs
$10
$20
$42
How much do hedging program fx jobs pay per hour?
What is a hedging program in FX?
What are the key skills and qualifications needed to thrive as a hedging program FX specialist?
What are some common challenges faced when managing a corporate FX hedging program, and how can they be addressed?
What is the difference between Hedging Program Fx vs FX Trader?
| Aspect | Hedging Program Fx | FX Trader |
|---|---|---|
| Required Credentials | Typically requires finance, risk management, or related certifications | Requires trading licenses, financial certifications, and market knowledge |
| Work Environment | Corporate risk management teams within financial institutions or corporations | Trading floors, financial institutions, or proprietary trading firms |
| Employer & Industry Usage | Used by companies to mitigate currency risk; employed by risk management departments | Used by traders to buy/sell currencies for profit or client needs |
While both roles involve currency markets, Hedging Program Fx focuses on managing and mitigating currency risk for organizations, whereas FX Traders actively buy and sell currencies to generate profit. Understanding these differences helps clarify career paths and employer expectations in the currency trading industry.
What cities are hiring for Hedging Program Fx jobs?
Cities with the most Hedging Program Fx job openings:
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States with the most job openings for Hedging Program Fx jobs include:
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The top searched job categories for Hedging Program Fx jobs are:

Job description
THE WORK:
As Senior Manager, Hedge Accounting at Ripple Treasury, you are the subject matter expert - spanning both FX and Interest Rate risk management - the person clients, auditors, and colleagues turn to on the most complex ASC 815 and IFRS 9 questions, and the senior level expert who sets the standard the team grows into.
You own the quality and integrity of every hedge accounting deliverable we produce, from hedge documentation and effectiveness testing through journal entries, disclosures, and audit support. You develop the Derivative Accountants and the broader team. And you drive the process discipline that makes our practice scalable - building the workflows, templates, and operational habits that let us do exceptional work efficiently, quarter after quarter.
This role is for a senior level practitioner and leader who combines deep technical authority, hands-on delivery responsibility, and a builder's mindset.
WHAT YOU'LL DO:
Technical Leadership
- Serve as the primary SME for hedge accounting under ASC 815 and IFRS 9, advising clients directly on establishing and executing their FX and Interest Rate hedge programs - including hedge designation, effectiveness testing methodology, de-designation scenarios, and disclosure requirements - providing authoritative, audit-defensible technical guidance across fair value, cash flow, and net investment hedges.
- Review and approve hedge documentation, designation memos, risk management objectives, and effectiveness testing methodologies across the client portfolio.
- Oversee quantitative and qualitative effectiveness assessments (regression analysis, dollar-offset, hypothetical derivative method) across FX and Interest Rate hedge relationships, on a prospective and retrospective basis.
- Guide clients through structuring new FX and Interest Rate hedging relationships to achieve qualification and optimize accounting outcomes.
- Translate FASB and IASB standard updates into clear, actionable impact summaries for clients and internal teams - before the deadline, not at it.
- Lead audit support: own final review of work product and direct engagement with external auditors on hedge accounting matters, escalating contested or precedent-setting positions to the Head of Managed Services.
Team Management & Development
- Mentor and develop Derivative Accounting team members.
- Provide ongoing coaching, guidance, and feedback that strengthens technical depth and delivery effectiveness of Derivative Accounting team members.
- Promote and reinforce a team culture grounded in technical rigor, accountability, and continuous improvement.
Process Improvement & Operational Excellence
- Identify and implement process improvements across the hedge accounting lifecycle - from trade capture and documentation through close, disclosure, and audit response.
- Develop, document, and maintain standardized workflows, templates, and close checklists that scale across a growing client portfolio.
- Evaluate and leverage technology solutions that increase accuracy, reduce manual effort, and improve efficiency.
- Establish and track team KPIs for delivery quality, timeliness, and client satisfaction; use data to drive decisions.
- Lead retrospectives after each close cycle to capture what worked, what didn't, and what changes before next quarter.
Client Service & Cross-Functional Collaboration
- Serve as the first-line escalation point for client inquiries, audit questions, and complex accounting positions across the managed services portfolio - resolving what falls within established practice standards, and flagging anything novel or contested upward.
- Build trusted relationships with client treasury, accounting, and finance leadership - advising at a strategic level, not just executing deliverables.
- Partner with Ripple Treasury's Product, Implementation, and Customer Success teams to inform platform capabilities and service design.
WHAT YOU'LL BRING:
- CPA required; advanced degree in Accounting or Finance a plus.
- 10+ years of progressive accounting experience, with at least 7 years focused on derivative instruments and hedge accounting under ASC 815 and IFRS 9, spanning both FX and Interest Rate risk management.
- Proven experience in developing accounting team member expertise - in public accounting, managed services, or corporate finance.
- Deep technical fluency in ASC 815 and IFRS 9, including practical hedge accounting elections, effectiveness testing methodologies, and disclosure requirements - you can research, interpret, and apply the standards independently.
- Strong understanding of FX derivative instruments (FX forwards, options, cross-currency swaps) and interest rate derivative instruments (interest rate swaps, caps, floors, collars), and the distinct hedge accounting considerations each presents.
- Demonstrated track record of designing and implementing process improvements.
- Experience with hedge accounting platforms (Ripple Treasury, Chatham Financial, Reval, FIS Quantum, or comparable TMS) strongly preferred.
- Comfortable managing multiple client engagements simultaneously - precise, organized, and able to prioritize under tight deadlines.
- Strong communicator: you make complex accounting conclusions accessible to non-technical audiences, and you hold your ground on technical positions when it matters.