Company Overview Office Location: Toronto, ON, Canada. Contract Duration: 6 Months. Language: English.
Key Responsibilities: The Treasury FX manager plays a pivotal role in the FX hedging process and is responsible for executing FX trades. This designation sets it apart from the treasury accountant role, aligning with internal control requirement. Without the involvement of this front-office/back-office role, we would be unable to process foreign exchange trades, confirmation and settlement.
Key aspects of the role are: - In-depth and broad expertise in FX hedging, investment and cash-flow forecasting - Experience with FX derivatives, FX hedging program, Corporate Treasury and Treasury Risk Management system - High level of organizational and management skills.
**We thank all applicants for applying, however only those considered for an interview will be contacted directly** Spirit Omega is committed to a diverse and inclusive workplace. We welcome applications from anyone, including members of visible minorities, women, Indigenous peoples, persons with disabilities, persons of minority sexual orientations and gender identities, and others with the skills and knowledge to productively engage with diverse communities.Looking for more opportunities? Check out our website at www.spiritomega.org