Financial Risk Middle Office Postular

Publicado el: 25 de Feb, 2025
Key responsibilities:

Risk Management:

Monitor and manage financial risks related to Commodities and FX position.
Collaboration with our Trading and Treasury teams to ensure accurate measurement and market hedging, exchange rate, and commodity price risks.
Analyze and assess the impact of market risks on commodity and currency portfolio.
Co-Develop and maintain risk management models for commodity, futures, and FX positions, integrating quantitative and qualitative analysis for strategic decision-making.
Support the identification of operational risks in finance and trading processes, proposing solutions to mitigate exposure and improve internal controls.
Participate in implementing risk management policies at the regional level, in alignment with best practices and international regulations.


Processes

Develop and maintain risk reports on a daily, weekly and monthly basis (analysis of position notional and profit/loss impacts).
Work with operations and finance teams to improve risk management processes.
Ensure compliance with policies, procedures and internal controls
Data & Tech

Collaborate with the Operational Excellence / Business Intelligence (BI) with regional risk reports.
Leverage advanced technologies and ERP systems (such as SAP, JD Edwards, or Oracle)
Enhance financial risk reporting processes by automating tools and advanced systems.

We are looking for committed and responsible candidates with these qualifications:

Bachelor’s degree in Finance, Accounting, Bs Administration, Economics, Engineering (or related fields).
2+ years of experience in financial risk management, commodities and FX analysis, or middle office/controlling roles, in sectors such as agriculture, energy, commodities, consulting or banking.
Advanced knowledge of financial risk management (including market, liquidity, and credit risks) and the use of hedging models.
Microsoft Excel, Power BI, Power Automate, and financial reporting systems - Advanced.
ERP systems experience (such as SAP, JD Edwards, or Oracle) and/or risk management platforms.
English fluency (written and oral) - Portuguese knowledge desirable
Strong ability to analyze and manage commodities positions and FX risks.
Effective Communication across multiple organizational levels.
Advocate for ideas and provide sound rationale for recommendations.
Navigate and influence in a multicultural and cross-functional environment.
Experience in system implementations and process improvement initiatives to drive efficiency.

Detalles

Tipo de oferta
Oportunidad Laboral
Ubicación
Híbrida; Beccar, GBA (Gran Buenos Aires), Argentina
Área de trabajo
Contabilidad y Auditoría
Tipo de cargo
Analista Sr
Jornada
Completa
Contrato
Indeterminado

Inclusión laboral

Oferta inclusiva
*CHS is proud to be a company committed to diversity, inclusion, and equal opportunity. All decisions regarding the hiring of candidates are made impartially, without discrimination based on age, creed, race, color, religion, national origin, sex, sexual orientation, gender identity, or disability. We value and promote diversity in our workplace*

Requisitos

Carrera(s)
Finanzas
Experiencia laboral
Junior (de 2 a 5 años de experiencia)

Postular

Esta oferta no acepta nuevas postulaciones.

Buscar trabajos

Ofertas similares