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FX Risk Manager

inDrive
Abu Dhabi, UAE
Full Time
Manager
1 weeks ago
FX risk managementHedging instruments (forwards, spot, options, swaps)Treasury operationsCash flow planningBank relationship managementExcel
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FX risk managementHedging instruments (forwards, spot, options, swaps)Treasury operations
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Description

  • The FX Risk Manager will be responsible for developing, implementing, and managing the foreign exchange (FX) risk management strategy for the inDrive Group.

Key Responsibilities

  • Develop and maintain the Group's FX risk management policy, aligning it with overall treasury objectives and corporate risk appetite.
  • Advise senior management on FX market developments, hedging strategies, and potential financial impacts.
  • Define clear objectives, risk tolerance levels, and acceptable exposure limits for FX risk.
  • Identify and quantify all types of FX exposure (transactional, translational, economic) across global subsidiaries and currencies.
  • Implement and utilize tools for accurate exposure forecasting, aggregation, and reporting.
  • Monitor FX market trends, economic indicators, and geopolitical events for potential impacts on currency movements.
  • Execute hedging strategies using appropriate financial instruments (e.g., spot, forwards, options, swaps) to mitigate identified exposures.
  • Negotiate FX rates and terms with banking partners and payment providers to optimize hedging effectiveness and cost efficiency.
  • Manage and monitor the Group's hedging portfolio.
  • Optimize FX related processes, including intercompany netting, multi lateral netting, and local currency payment strategies (natural hedging).
  • Work closely with Treasury Systems and IT teams to implement and enhance FX risk management modules within the Treasury Management System (TMS) and ERP.
  • Ensure data integrity and automation for FX exposure reporting.

Skills, Knowledge & Expertise

  • 4+ years of experience in Treasury, with a focus on FX risk management
  • Hands on experience with FX hedging instruments (forwards, spot; options/swaps as a plus)
  • Good understanding of FX exposures and practical risk management approaches
  • Experience executing FX transactions and working with banking partners
  • Solid analytical skills (exposure tracking, forecasting, reporting — Excel or similar)
  • Experience with treasury processes (cash flow planning, payments, bank relationships)
  • Ability to clearly communicate FX risks and recommendations to stakeholders
  • Experience in a multi currency environment; TMS/ERP exposure is a plus

Why join us

  • Help us challenge injustice by creating fair choices for millions of people across 1100+ cities in 48 countries.
  • Develop your professional skills with access to mentoring, career consulting, and learning programs.
  • Collaborate with teams around the world and gain international experience through our Global Talent Exchange Program.
  • Engage in company wide challenges, awards, sports activities, employee led social impact and volunteering projects.
  • Work alongside people who take initiative, speak openly, and challenge themselves to grow.
  • Improve your language skills through co financed courses and internal speaking clubs.

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