Head Of Group Foreign Exchange Risk
YOOX NET-A-PORTER GROUP is the world leader in online luxury and fashion that comprises a complete luxury retail ecosystem. The Group sells directly to customers globally through its own family of multi-brand online shops NET-A-PORTER, MR PORTER, YOOX and THE OUTNET. The Group's Online Flagship Stores Division partners with many leading luxury brands to power their own e-commerce destinations.
The Group has 4. 3 million high-spending active customers globally. As pioneers in bringing together the realms of technology and luxury, YOOX NET-A-PORTER satisfies the most discerning clientele with expertly curated products from the world's most coveted brands, personalised end-to-end service, the latest technology and inspiring content, all shaped by 20 years of insights into the modern shopper.
To support the teams who are powering this ecosystem we have a global Corporate division consisting of departments including Legal, Finance, Marketing and Sales, Strategy, Human Resources, Central Services and PR and Communications.
Our Corporate division are now seeking a talented Head of Group Foreign Exchange Risk to join the Group Treasury team.
Some of the essentials for you to know are:
Location: Our offices in Milan, Italy
Team Size: 11 resources (approx. )
Reporting into: Treasury & Finance Director
Workplace Type: Hybrid
Contract Type: Permanent
Role purpose:
The role is part of the centralized Group Treasury of YOOX Net-a-Porter Group
This profile will contribute to design and implement the new FX risk management policy.
Here is a breakdown of what you'll be doing:
- Support the assessment of the Group FX risk exposure to define the hedging procedures and processes- Support the periodical definition of the exposure, through the continuous interactions with the different business lines and departments- Define and execute the FX hedging strategy- Provide oversight in terms of foreign exchange risk and its hedging effectiveness- Ensure limits and controls in place are robust and support risk appetite compliance- Monitor the financial markets- Prepare the management reporting for the activities under her/his responsibility- Contribute to the creation of a Group FX culture- Proactively support the implementation of the adequate level of efficiency and internal controls in the activities under her/his responsibilities, including the functional implementation of new dedicated systems and/or of specific functionalities in the systems in use.
The type of person we are looking for:
- Master's Degree in Economics- 10+ years proven experience in Corporate Treasury Departments, with responsibility in the financial risk management processes- Excellent knowledge of International Accounting Standards for financial instruments- Ability with financial management systems- Strong abilities in Project Management- Analytical skills- Good interpersonal skills- Flexibility and ability to work in team- Fluent English- FIS treasury suite knowledge is a plus
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Experience Level: Mid-Senior level
Workplace Type: Hybrid
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