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Teva Associate Director - Financial Risk Management 
Israel, Center District 
603348133

25.06.2024
How you’ll spend your day
  • Identify, analyze and manage Teva's FX exposure and design and execute risk management strategies to hedge Teva's financial performance from market-risk volatility.
  • Collaborate with Accounting, Tax, FP&A, and Treasury to mitigate financial risks..
  • Automate risk management processes and implement FX exposure systems.
  • Develop financial models, processes, and policies for risk management.
  • Ensure hedging accuracy and compliance through daily interaction with FX trader and treasury centers.
  • Prepare periodic reports and presentations to management across all levels of seniority.
  • Educate and train related functions; participate in Corporate Finance & Financial Risk Management projects.
Your experience and qualifications
  • Academic degree in Economics, Accounting, Statistics, Finance, or a Quantitative field – a must.
  • Strong background in accounting / CPA – an advantage.
  • Advanced degree or MBA – an advantage.
  • 3+ years in finance within multinational corporations/financial institutions (including internships) – a must.
  • Experience in financial risk management – a significant advantage.
  • Advanced MS Excel skills (complex formulas, advanced functions) – must.
    • Proficiency in Treasury management systems - an advantage.
    • Experience with large databases and new system implementations – an advantage.
  • Advanced presentation skills – can deliver engaging presentations and simplify complex information for diverse audiences.
    • Experience in consulting – an advantage.
Reports To

Head of Corporate Finance and FRM

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