Description

An international financial-services operation in Estonia is looking for an experienced FX Treasury & Hedging Manager to oversee currency exposure, liquidity planning, hedging processes, and treasury analytics across a multi-currency environment.

The position combines strategic treasury management with hands-on financial analysis and requires someone capable of translating currency exposures into disciplined treasury actions.

Responsibilities

  • Manage and monitor the organisation’s multi-currency liquidity position.
  • Analyse current and projected FX exposures across business activities.
  • Develop and maintain appropriate FX-hedging strategies within approved policies.
  • Monitor currency movements, interest-rate differentials, liquidity conditions, and market volatility.
  • Coordinate FX transactions with banking partners and liquidity providers.
  • Produce regular treasury, liquidity, and currency-exposure reports.
  • Develop forecasting models for currency inflows, outflows, and funding requirements.
  • Review hedge effectiveness and identify areas for improvement.
  • Maintain appropriate treasury controls, documentation, and approval processes.
  • Collaborate with finance, risk, accounting, operations, and executive stakeholders.
  • Support stress testing and scenario analysis for significant currency movements.
  • Identify opportunities to improve treasury automation and reporting.
  • Contribute to treasury policy development and periodic reviews.

What You Bring

  • 6+ years of experience in treasury, FX, banking, corporate finance, or financial markets.
  • Strong knowledge of foreign-exchange markets and hedging instruments.
  • Experience managing multi-currency exposures and liquidity requirements.
  • Strong understanding of treasury controls and financial risk.
  • Advanced Excel and financial-modelling capabilities.
  • Experience with treasury-management systems or financial-data platforms.
  • Strong analytical judgement and attention to detail.
  • Excellent communication and stakeholder-management skills.
  • Relevant finance, economics, accounting, or treasury qualifications are advantageous.

Professional Environment

You will work across treasury, FX markets, financial risk, liquidity, and technology, helping establish efficient and well-controlled currency-management processes within an internationally focused organisation.

Are you interested in this position?

Apply by clicking on the “Apply Now” Button below!

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