Financial Risk Manager, Corporate Treasury (0be7f03fa55f)
Teva's corporate Treasury is looking for a financial risk manager to join its Financial Risk, Working capital and Cash management center of excellence unit, and be responsible for the identification and management of Teva's financial exposures to the different types of market risks (FX, interest rate, cash, liquidity, commodities).
We are looking for an experienced risk analyst with project management skills, which is familiar with the complexities of a large corporation with global operations and has a good understanding of financial risk management methodologies; excellent knowledge in treasury operations & accounting principles; banking and intercompany relations; financing and treasury and ERP systems.
We offer a highly impactful role that allows the opportunity to stretch your skills with visibility at the highest levels of the company, and hit the ground running from day one.
The successful candidate will be part of an experienced and award winning team* that manages multi-billion-dollar risks across the different dimensions of the company, and interfaces frequently with top financial firms on various corporate finance matters, while using state-of-the-art methodologies.
She/he will possess an excellent command of English, being able to demonstrate negotiation, presentation and writing skills and will be required to deal with cultural differences, conflicting interests, complex and unforeseen challenges, as well as to constructively cooperate with his/her peers in building an effective and efficient working environment.
*Teva Corporate Treasury is the "Highly Commanded Winner" of the prestigious Adam Smith Awards by the Treasury Today magazine, for the best global Foreign Exchange processes in 2021
Essential Duties & ResponsibilitiesDesign and implement risk management strategies meant to protect Teva's assets and financial results. Support, design and roll-out of financial risk frameworks and projects throughout the organization. Identify, analyze and manage Teva's market risks and financial exposures such as FX, Cash, Liquidity, Interest rates and Commodities. Work and collaborate with stakeholders within Teva, such as tax, legal, accounting and compliance to reduce risk and exposures. Plan intercompany transactions and relationships to accommodate with Teva's risk appetite, policies and guidelines. Develop and maintain financial models, work processes and supporting systems related to risk management activities. Interact daily with Teva’s FX trader and treasury centers to align on hedging accuracy and compliance. Deliver on P/L and cash flow targets subject to restrained levels of risk. Prepare periodic reports and presentations to management across all levels of seniority.
QualificationsEducation Required: Academic degree Economics/Accounting/Econometrics/Finance or Quantitative specialization. MBA - an advantage. Experience Required: 5+ years of experience in the Financial Risk domain within large corporates/financial institutions. Specialized or Technical Knowledge: Top-notch technical skills. Master in MS excel (inc. macros). Proficiency in Treasury systems (FIS Quantum - an advantage). CTP/CPA – an advantage. Relevant professional Treasury affiliations. Skills: Strong analytical skills– has the ability to identify and solve complexed problems independently. Result-driven and ability to push tasks forward in a persistent and constructive manner. Excellent interpersonal skills, decisive and resilient; Able to manage different stakeholders and navigate through different cultural environments. Broad knowledge of micro - and macroeconomic factors, with the ability to translate these into risk-oriented decisions. Outstanding verbal and written communication skills in English. Advanced presentation skills with the ability to articulate complexed content in an easy and transparent way. High degree of personal integrity and sensitivity to confidential information. Changeable and flexible, Thrive while working in a fast-paced, dynamic environment. Able to handle pressure/deadlines. Ability to work in multi-national and cross-cultural organization. Well structured, autonomous, highly adaptive, flexible and pleasant team player. In-depth knowledge of Teva’s operations and financials; Exposure to the pharma industry – an advantage.
Sr Dir Treasury, Corporate Treasury
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