Foreign Exchange Manager
Summary
Principal Foreign Exchange Manager responsible for managing HP’s foreign exchange exposures across various cashflow and balance sheet hedge programs. This position requires collaboration with cross-functional teams in Treasury, Finance, Accounting, Tax, Legal, FP&A and HP’s Business Groups. You will leverage your expertise to develop processes, compile and analyze large datasets of internal/external market data, monitor FX risk, and optimize FX hedging strategies through quantitative modeling. You will engage in executing derivatives hedging strategies activities with financial institutions within a counterparty risk framework, ensuring compliance with SOX and Treasury policies, and global regulatory and reporting requirements relevant to FX operations. Additionally, you will synthesize results for finance leadership, contributing to informed decision-making.
Key Responsibilities
Principal Foreign Exchange Manager responsible for managing HP’s foreign exchange exposures across various cashflow and balance sheet hedge programs. This position requires collaboration with cross-functional teams in Treasury, Finance, Accounting, Tax, Legal, FP&A and HP’s Business Groups. You will leverage your expertise to develop processes, compile and analyze large datasets of internal/external market data, monitor FX risk, and optimize FX hedging strategies through quantitative modeling. You will engage in executing derivatives hedging strategies activities with financial institutions within a counterparty risk framework, ensuring compliance with SOX and Treasury policies, and global regulatory and reporting requirements relevant to FX operations. Additionally, you will synthesize results for finance leadership, contributing to informed decision-making.
Key Responsibilities
- Apply advanced treasury subject matter expertise to manage HP's foreign exchange program, addressing the highest complexity challenges.
- Communicate with senior leaders to deliver guidance and desired results for HP’s foreign exchange programs.
- Collaborate with cross-functional teams to actively manage foreign exchange exposure impacting HP's financial results.
- Develop processes to compile and analyze large datasets of internal/external market data to monitor FX risk.
- Optimize FX hedging strategies through quantitative modeling, ensuring alignment with organizational objectives.
- Partner with tax, legal, and audit functions, as well as businesses, offering insights on tax planning, risk management, and treasury solutions.
- Foster relationships with industry professionals to stay abreast of market trends and incorporate insights for internal use.
- Lead treasury projects with organization-wide impact, providing recommendations to enhance operational efficiencies.
- Cultivate and maintain relationships with banking partners and business leaders.
- First-level university degree or equivalent experience; advanced university degree preferred.
- Minimum of 10 years of related experience in finance, audit, and/or accounting.
- Relevant certification preferred.
- Foreign exchange trading experience highly desirable.
- Comprehensive understanding of foreign exchange trading processes and finance functions.
- Advanced knowledge of regulatory environments impacting treasury activities.
- Exceptional communication, leadership, consulting, influence and negotiation skills.
- Strong financial and business acumen.
- Excellent project management, problem-solving, analytical, and strategic thinking skills.
- Proficiency in Bloomberg and other FX trading platforms preferred.
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Seniority level
Not Applicable -
Employment type
Full-time -
Job function
Finance and Sales -
Industries
IT Services and IT Consulting, Computer Hardware Manufacturing, and Software Development
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