Senior Manager, Treasury FX Risk Management

4 weeks ago


Chicago, Illinois, United States Kraft Heinz Full time

Job Description
Here at Kraft Heinz, we grow our people to grow our business, because we believe that great people make great companies. When you join our table, you can expect access to an array of holistic wellness benefits* and perks, including medical, dental and vision coverage, 7% 401(k) matching, Business Resource Groups (BRGs) to help foster diversity, inclusion, and belonging for all employees, an industry-leading total rewards package that emphasizes a high discretionary bonus. *Benefits begin 30 days after hire for hourly employees, and immediately upon hire for salaried employees. Get a peek into life here at Kraft Heinz through our Instagram and TikTok channels
Senior Manager, Treasury FX Risk Management at a Glance....
The Sr. Manager, Treasury FX Risk Management will report to the Director Treasury Operations and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have a strong technical knowledge of FX markets and hedging strategies, as well as the gravitas to positively lead within the department, engage positively with stakeholders and have excellent communication and presentation skills (both building the presentations and delivering them as needed).
Our ideal candidate should not only have experience in this space but with the following materiality thresholds: global revenue of $20B to $40B, long term public debt between $20B to $40B, revolving credit facility between $5B to $10B, commercial paper program of $1B to $2B, operating in 40+ countries and managing 20+ currencies with both manufacturing and distribution, as well as geographic earnings dispersion of 50 / 50 (US and OUS, with experience in emerging markets).
What's on the menu?

  • Lead the global FX risk management function, including ownership of balance sheet, cash flow and net investment hedging programs
  • Provide thought-leadership on identification and risk mitigation of global FX exposures through optimal risk management across Net investment, Debt to EBITDA, Cash Flow and Balance Sheet strategies, as well as oversee the operational execution of all hedging activities
  • Evaluate the company's cash flow at risk to build out hedging program including forecast accuracy assessment, cost of hedging, tenor, volatility and changes to business strategy across $9B derivative portfolio and communicate the same to leadership / audit committee
  • Partner with global treasury teams to obtain and validate insights of foreign currency exposures
  • Execute trade requests for hedging balance sheet, cash flow, intercompany loans, and transactional FX exposures
  • Ensure adequate trade record keeping for management reporting and financial accounting
  • Partner with Accounting, Tax and Legal teams to align hedging programs with broader organizational objectives
  • Partner with Global Controllers group to ensure accurate financial reporting
  • Subject matter expert for derivatives (foreign currency transactions including but not limited to, FX spot, forward, swap, options, and cross currency swaps)
  • Leverage global banking partners and other functions (e.g., legal, tax, and accounting) to resolve issues and recommend innovative solutions
  • Identify changes that incorporate the company's strategic objectives
  • Assist with Treasury meetings, CFO presentations, and annual operating plan development
  • Work with treasury cash management to ensure proper settlement
  • Ensure SOX compliance for relevant Treasury controls (trade approvals, etc)

Recipe for Success - apply now if this sounds like you

  • Bachelor's degree required, Advanced degrees or certifications (MBA, CPA, CFA. etc,) strongly preferred
  • Minimum 7+ years of experience is required for this position, overseeing all aspects of the Treasury
  • 2+ years of experience working in Corporate Banking at a large banking institution is highly valued though not required.
  • Expertise in hedge accounting requirements and application
  • Experience managing direct reports at different levels in their career including experience with all aspects of people leadership, including recruiting, hiring, succession planning, mentoring, and developing talent
  • Ability to maintain a strong collaborative team and can work within a matrix organization
  • Must be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership as well as the audit committee
  • Combination of strong technical skills and excellent communication and presentation skills

Location(s)
Chicago/Aon Center
Kraft Heinz is an Equal Opportunity Employer that prohibits discrimination or harassment of any type. All qualified applicants are considered for employment without regard to race, color, national origin, age, sex, sexual orientation, gender, gender identity or expression, disability status, protected veteran status, or any other characteristic protected by law. Applicants who require an accommodation to participate in the job application or hiring process should contact .



  • Chicago, Illinois, United States VetJobs Full time

    The following position is available to Veterans, Transitioning Military, National Guard and Reserve Members, Military Spouses, Wounded Warriors, and their Caregivers.Senior Financial Analyst, Treasury FX Trader– Chicago, ILThe Treasury's Senior Financial Analyst position is an excellent opportunity for a quantitative professional to apply advanced...


  • Chicago, Illinois, United States Gilder Search Group Full time

    The Treasury Manager is responsible for ensuring that all treasury functions and associated internal controls, policies, and procedures are executed effectively and efficiently on a global scale for Gilder Search Group. This role involves monitoring foreign exchange risk, collaborating with various business units to mitigate financial exposure, and executing...


  • Chicago, Illinois, United States Gilder Search Group Full time

    The Treasury Manager at Gilder Search Group is responsible for ensuring that all treasury functions and associated internal controls, policies, and procedures are functioning effectively and efficiently on a global scale. This role involves monitoring foreign exchange risk, collaborating with various business units to mitigate financial risks, and executing...

  • Treasury Manager

    2 days ago


    Chicago, Illinois, United States Buckingham Search Full time

    Job DescriptionThe Treasury Manager ensures that all treasury processes and related internal controls, policies, and procedures are operating globally actively and efficiently for the company. This individual monitors FX risk, works closely with the business to minimize financial risk and performs appropriate hedging and funding activities (Forex, swaps,...


  • Chicago, Illinois, United States Kraft Heinz Full time

    Job DescriptionHere at Kraft Heinz, we grow our people to grow our business, because we believe that great people make great companies. When you join our table, you can expect access to an array of holistic wellness benefits* and perks, including medical, dental and vision coverage, 7% 401(k) matching, Business Resource Groups (BRGs) to help foster...


  • Chicago, Illinois, United States Gilder Search Group Full time

    The Treasury Manager is responsible for ensuring that all treasury functions and associated internal controls, policies, and procedures are functioning effectively and efficiently on a global scale for Gilder Search Group. This role involves monitoring foreign exchange risk, collaborating with various business units to mitigate financial risks, and executing...


  • Chicago, Illinois, United States Gilder Search Group Full time

    The Treasury Manager is responsible for ensuring that all treasury functions and associated internal controls, policies, and procedures are effectively implemented and managed on a global scale for Gilder Search Group. This role involves monitoring foreign exchange risk, collaborating with various business units to mitigate financial risks, and executing...


  • Chicago, Illinois, United States Gilder Search Group Full time

    The Treasury Manager is responsible for ensuring that all treasury functions and associated internal controls, policies, and procedures are effectively implemented and managed on a global scale for Gilder Search Group. This role involves monitoring foreign exchange risks, collaborating with various business units to mitigate financial exposure, and...


  • Chicago, Illinois, United States Kraft Heinz Company Full time

    About Kraft Heinz CompanyAt Kraft Heinz, we believe that our people are the key to our success. We are committed to fostering an environment where our employees can thrive, supported by a comprehensive range of wellness benefits and perks. Position OverviewThe Treasury Senior Analyst role is integral to our Global Treasury team, which oversees the company's...


  • Chicago, Illinois, United States Kraft Heinz Full time

    Job DescriptionHere at Kraft Heinz, we grow our people to grow our business, because we believe that great people make great companies. When you join our table, you can expect access to an array of holistic wellness benefits* and perks, including medical, dental and vision coverage, 7% 401(k) matching, Business Resource Groups (BRGs) to help foster...


  • Chicago, Illinois, United States Buckingham Search Full time

    Global Treasury Operations Manager RoleBuckingham Search is seeking a Global Treasury Operations Manager to lead and enhance treasury functions, internal governance, policies, and procedures on a worldwide scale. The successful candidate will be tasked with overseeing foreign exchange risk, partnering with various business units to mitigate financial...


  • Chicago, Illinois, United States The Kraft Heinz Company Full time

    Job DescriptionSummary:The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage positively with stakeholders and...


  • Chicago, Illinois, United States Kraft Heinz Full time

    Job Description Summary: The Director, Treasury Analytics and Strategy will report to the Treasurer and will need to be highly analytical and able to solve complex financial problems, with recurring interaction with company leadership. Our ideal candidate must have the gravitas to positively lead within the department, engage positively with stakeholders and...

  • Senior Analyst

    1 week ago


    Chicago, Illinois, United States Huntington Bancshares Inc. Full time

    Position Overview: Summary: Huntington Bancshares Inc. is in search of a Senior Corporate Treasury Liquidity Analyst to enhance the Funding Desk's capabilities. The ideal candidate will play a pivotal role in effective liquidity oversight and funding strategy execution, engaging with various market dynamics. This position demands frequent collaboration with...

  • Senior FX Trader

    2 days ago


    Chicago, Illinois, United States Old Mission Full time

    About the PositionWe are seeking a highly skilled Senior FX Trader to join our team at Old Mission, a global proprietary trading firm. This individual will report directly to a managing partner and be responsible for leading the expansion of our FX trading efforts.Key ResponsibilitiesDevelop and implement proprietary trading strategies, theoretical pricing...

  • Manager, Treasury

    3 months ago


    Chicago, Illinois, United States CDW Full time

    Manager Treasury (Hybrid)The Treasury Manager (hybrid) is responsible for managing treasury activities for the company, including daily cash management and forecasting, banking operations and cash forecasting, and debt administration, and is an integral contributor to Treasury's forward-looking strategies. Key Areas of Responsibility Banking Administration:...


  • Chicago, Illinois, United States Aeris Communications Full time

    Job OverviewAeris Communications is a leader in the "Internet of Things" (IoT) sector, dedicated to developing networks and applications that empower Fortune 500 companies to enhance their operations fundamentally. We are committed to the transformative potential of IoT, which promises to positively influence the world for generations. Our innovations are...


  • Chicago, Illinois, United States Vantage Risk Companies Full time

    Position Overview:The Senior Analyst in Enterprise Risk Management will be instrumental in enhancing risk reporting and advancing the ERM function within Vantage Risk Companies.Key Responsibilities:1. **Data Collection and Reporting:** - Gather and monitor essential aggregation risk metrics across various risk portfolios and products. - Present findings...


  • Chicago, Illinois, United States Kemper Corporation Full time

    Senior Vice President, TreasuryLocation: Chicago, IllinoisCompany Overview:Kemper Corporation stands as a prominent player in the specialized insurance sector. Our achievements are a testament to the dedicated and diverse workforce that consistently enhances the lives of our clients.POSITION SUMMARY:The Senior Vice President of Treasury will play a pivotal...


  • Chicago, Illinois, United States Gilder Search Group Full time

    Position Overview:Our client, a growing energy firm, is in search of a Treasury & Corporate Accounting Manager. This pivotal position offers significant visibility within a thriving organization.Key Responsibilities:Treasury Management and Compliance:Oversee financial operations, focusing on liquidity and cash management.Project cash flow requirements,...