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Treasury Manager Financial Risk Management (m/f)
Bombardier | Zurich, Kansas
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Job Description

Treasury Manager Financial Risk Management (m/f)-TGFI-CHZU01426048


Bombardier Transportation, a global leader in rail technology, offers the broadest portfolio in the rail industry and delivers innovative products and services that set new standards in sustainable mobility. BOMBARDIER ECO4 technologies - built on the four cornerstones of energy, efficiency, economy and ecology - conserve energy, protect the environment and help to improve total train performance. Bombardier Transportation is headquartered in Berlin, Germany, and has a very diverse customer base with products or services in more than 60 countries. It has an installed base of over 100,000 vehicles worldwide.

We are currently looking to recruit a Treasury Manager Financial Risk Management (m/f) in Zürich, Switzerland.

Purpose of the job
Support the Director, Assistant Treasurer in making sure that the Financial Risks of the group are correctly reported, hedged and accounted for, in accordance with the policies, directives, accounting principles in place.

Key responsibilities
Financial Risk Advisory

- Provide analysis and support regarding FX risk in bid phase, by assisting bid controllers and coordinating with Structure Finance/Tax/Contracts/Procurement/Sales as required.
- Support other business partners with decisions regarding financial risks: FX, commodity, interest or credit risk.
- Support local management in formulating appropriate action plans to address gaps related to financial risk and/or accounting practices for FX.
- Establish training programs regarding risk management for our businesses.
- Act as main point of contact to internal and external stakeholders.
Hedging Strategy

- Identify appropriate hedging strategies, request their implementation, and ensure proper and timely implementation of hedge requests.
- Review the business requirements for process improvements projects.
Policy Framework

- Establish, review and maintain financial risk policies related to FX, commodity and interest rate risk.
- Implement and review the framework for identifying, hedging and accounting for FX exposures, from the bid phase until the end of the project execution phase.
- Maintain directives, Desktop-procedures and User-guides up to date.
- Enforce policies and procedures to minimize impact on financial results due to FX volatility.
Hedge Accounting and Reporting

- Support business partners in Finance with Hedge Accounting: Ensure the completeness and correctness of the accounting entries and ensure reconciliation with local accounting and contract accounting if applicable.
- Produce the quarterly reporting kit for BT Finance and for auditors' requirements.

- Ensure compliance with OSC, internal audit and all applicable accounting principles.
- Ensure compliance with internal policies, directives and procedures, as well as any Service Level Agreement in place.
- Governance of Quantum Treasury system through system change controls and upgrades.


- Finance or business degree. Master in Business Administration, Chartered Financial Analyst or any other relevant Accounting or Finance qualification.
- 5-8 years of relevant experience: Experience in Treasury position, or in Accounting or Controlling positions in similar companies, or experience in an Auditing firm
- Expert knowledge of FX, Commodity and Interest rate risks, hedging strategies and hedging instruments used to cover these risks.
- Advance knowledge of FX accounting norms in general and of hedge accounting norms in particular (IFRS 9).
- Some knowledge of contract accounting and how hedge accounting norms apply in a contract accounting context
- Solid knowledge of Audit and Compliance requirements
- Strong skills in EXCEL a must. Proficiency in other Treasury tools considered an asset.
- Ability to work and communicate well in the context of a multinational and truly multicultural firm with a matrix organizational structure
- Experience in project management and process improvement projects.
- Strong organizational skills
- Strong oral and written communication skills in English are required
Are you interested in starting an exciting career at Bombardier Transportation? If so, apply now at www.careers.bombardier.com and start your dynamic career today!

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Job: Financial Analysis
Primary Location: CH-ZU-Zurich
Organization: Transportation
Schedule: Full-time
Employee Status: Regular

Job Posting:
11.08.2017, 2:39:26 PM

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