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Manager – Financial Risk Management

Manager – Financial Risk Management

CompanyBristol Myers Squibb
LocationPrinceton, NJ, USA
Salary$Not Provided – $Not Provided
TypeFull-Time
DegreesBachelor’s
Experience LevelMid Level, Senior

Requirements

  • Minimum education of a bachelor’s degree in finance, Business, or a related discipline.
  • Minimum of four (4) years of finance experience in treasury, financial analysis, risk, audit, or accounting in a corporate setting.
  • Strong analytical and technical skills along with a strategic perspective supporting financial activities with attention to detail.
  • Proactive approach and ability to partner with internal and external stakeholders, including corporate accounting, technology, tax, banks, European Treasury Center, CFA, Atlas, and Quantum.

Responsibilities

  • Lead Balance Sheet FX Hedging Program
  • Aggregate and validate balance sheet FX exposure from ERP systems.
  • Execute hedges on 360T and ensure appropriate legal entity allocation.
  • Identify and analyze drivers of variance between actual P&L and forecast.
  • Oversee daily management of investment portfolio
  • Partner cross-functionally to ensure sufficient daily cash and liquidity.
  • Manage portfolio based on daily cash position and market opportunities.
  • Monitor and report on the performance of retirement plan investments.
  • Assist with audits of pension and savings plans, and SOX control requirements.
  • Support Financial Risk Management colleagues with interest rate hedging, cash flow FX hedging, commercial paper issuance, and net investment hedging.
  • Partner with technology for improvements/implementations.

Preferred Qualifications

    No preferred qualifications provided.