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Treasury Manager Fx Jobs in Delaware (NOW HIRING)

Treasury Manager Fx information

What does a Treasury Manager FX do?

A Treasury Manager FX (Foreign Exchange) is responsible for managing an organization's exposure to currency risk and handling foreign exchange transactions. They develop strategies to hedge against currency fluctuations, monitor FX markets, and ensure compliance with relevant regulations. Their role often involves working closely with finance teams to optimize cash flow, manage liquidity, and support international business operations. Effective Treasury Managers FX help protect a company’s financial health in global markets.

What are some common challenges a Treasury Manager FX faces when managing foreign exchange risks, and how can they address them?

A Treasury Manager FX often encounters challenges such as volatile currency markets, rapidly changing regulatory requirements, and the need to accurately forecast cash flows in multiple currencies. Addressing these challenges requires staying updated on market trends, implementing robust hedging strategies, and leveraging treasury management systems for real-time data and analytics. Collaborating closely with finance, accounting, and business unit teams also ensures cohesive decision-making and risk mitigation across the organization.

What are the key skills and qualifications needed to thrive as a Treasury Manager FX, and why are they important?

To thrive as a Treasury Manager FX, you need strong financial analysis skills, expertise in foreign exchange markets, and typically a degree in finance, accounting, or a related field. Familiarity with treasury management systems, FX trading platforms, and advanced Excel skills are commonly required, and certifications like CTP or CFA are advantageous. Outstanding attention to detail, risk management abilities, and effective communication are vital soft skills for success in this role. These competencies are crucial for managing currency risk, optimizing cash flow, and ensuring compliance in a dynamic global financial environment.

What is the difference between Treasury Manager Fx vs Treasury Analyst?

AspectTreasury Manager FxTreasury Analyst
CredentialsTypically requires a bachelor's degree in finance or related field; certifications like CFA or CTP are commonUsually holds a bachelor's degree in finance, accounting, or economics; certifications are advantageous but not mandatory
Work EnvironmentManages foreign exchange risk, oversees treasury operations, and develops FX strategies within corporate treasury teamsAnalyzes FX market trends, supports treasury operations, and assists in risk management activities
Employer & IndustryEmployed by corporations, banks, or financial institutions involved in international tradeWorks within corporate treasury departments, financial institutions, or consulting firms

The Treasury Manager Fx focuses on managing foreign exchange risks and strategies at a managerial level, while the Treasury Analyst supports these activities through analysis and operational tasks. Both roles require financial knowledge and may involve FX-related responsibilities, but the manager has a broader strategic scope.

What are popular job titles related to Treasury Manager Fx jobs in Delaware?

For Treasury Manager Fx jobs in Delaware, the most frequently searched job titles are:

What job categories do people searching Treasury Manager Fx jobs in Delaware look for?

The top searched job categories for Treasury Manager Fx jobs in Delaware are:

What cities in Delaware are hiring for Treasury Manager Fx jobs?

Cities in Delaware with the most Treasury Manager Fx job openings:

Product Control Analytics - Senior Associate

JPMorgan Chase & Co.

Newark, DE • On-site

$120 - $165/hr

Other

Re-posted 10 days ago


JPMorgan Chase & Co. rating

7.9

Company rating: 7.9 out of 10

Based on 500 frontline employees who took The Breakroom Quiz

78th of 175 rated banks


Job description

The objective of the Treasury/Chief Investment Office (TCIO) is to manage the Firm’s consolidated interest rate and FX risk through various investment and hedging strategies. TCIO executes market transactions using a diversified slate, including fixed income, FX and credit products. Risks managed by the TCIO include structural interest rate, mortgages and foreign exchange risk. Products utilized include fixed income securities, mortgage-backed securities, interest rate swaps, and cross currency swaps.

The candidate will join Treasury Chief Investment Office’s North America Product Control team whose principal responsibility is oversight and financial reporting of CIO’s hedging activity. The team’s primary focus is ensuring the proper implementation of Derivative Accounting and reporting policies as well as the preparation of related reports and analyses.

In addition to providing insight into the function of the Chief Investment Office, the role will provide the candidate with exposure to a range of products including interest rate swaps, cross currency swaps, and various fixed income products.

Position Responsibilities:

  • Preparation & analysis of various daily P&L and position reports for Front Office
  • Compile various analyses to explain P&L components and drivers of hedge activity
  • Work closely with Technology teams to implement reporting requirements and resolve issues
  • Implementation of new hedging strategies

  • Oversight of various procedures and controls surrounding hedging activities
  • Recommend areas for improvement and streamline processes where appropriate
  • Participate in ad-hoc projects and other analytical requests

Skills Required:

  • Basic understanding of Interest Rate Swaps, Cross Currency Swaps, Fixed Income Instruments and Debt products
  • Knowledge of AI and experience with applying AI in practice is preferred
  • Solid understanding of financial accounting and finance
  • High motivation, a desire to learn, and ability to quickly climb learning curve
  • Strong communication skills and the ability to interface effectively with Front Office, Operations and Technology teams
  • Ability to manage individual projects and meet deadlines with minimal supervision
  • Exposure to hedging and/or derivative products is a plus

Additional Information:

To be eligible for this role, you must be authorized to work in the United States. We do not offer any type of employment-based immigration sponsorship for this role. Likewise, JPMorgan Chase & Co. will not provide any assistance or sign any documentation in support of any other form of immigration sponsorship or benefit, including optional practical training (OPT) or curricular practical training (CPT).

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