Manager, Foreign Exchange Risk Management

DRiV

$110K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 7+ years of experience in Treasury, Capital Markets, or Financial Risk Management.
  • Hands-on experience managing foreign exchange exposures and derivative transactions.
  • Strong grasp of global financial markets and hedging strategies.
  • Familiarity with hedge accounting standards (ASC 815 or IFRS equivalent).
  • Proficient in financial modeling and scenario analyses.
  • Advanced skills in Excel; proficiency in Treasury software like Bloomberg or Kyriba is a plus.
  • Excellent analytical, project management, and communication abilities.

Responsibilities

  • Develop and execute DRiV's global Foreign Exchange Risk Management program.
  • Establish procedures for tracking and managing foreign currency exposures.
  • Collaborate with business units to analyze foreign exchange impacts on operations.
  • Recommend and implement hedging strategies aligned with company policies.
  • Execute foreign exchange hedge transactions as per Treasury guidelines.
  • Prepare and present FX exposure reports to leadership and executive team.
  • Support financial disclosures related to foreign exchange fluctuations.

Benefits

  • Hybrid work model with flexibility for remote work.
  • Professional development opportunities within a growing team.
  • Exposure to a wide range of financial instruments and strategies.
  • A dynamic environment focused on continuous improvement and collaboration.
Full Job Description
Manager, Foreign Exchange Risk Management

Location: Skokie, IL or Southfield, MI (Hybrid)

Position Summary

DRiV is seeking a highly motivated Manager, Foreign Exchange Risk Management to establish and lead the Company's enterprise-wide Foreign Exchange (FX) Risk Management program. Reporting to the Executive Director, Risk Management, this newly created role will be responsible for designing and implementing DRiV's global FX risk management framework, developing hedging strategies, executing derivative transactions, and providing financial analysis to support business decision-making.

The successful candidate will play a key role in developing Treasury's financial risk management capabilities while supporting broader treasury initiatives including liquidity management, debt financing, banking relationships, and treasury transformation.

Key Responsibilities

Foreign Exchange Risk Management
  • Develop and implement DRiV's global Foreign Exchange Risk Management program.
  • Establish policies, procedures, and governance for identifying, measuring, monitoring, and managing foreign currency exposures.
  • Partner with business units to identify transactional, translational, and economic foreign exchange exposures. Develop and maintain enterprise-wide FX exposure reporting and analytics.
  • Recommend appropriate hedging strategies based on the Company's risk appetite and Treasury policies.
  • Execute foreign exchange hedge transactions, including forwards, swaps, and options, in accordance with approved Treasury policies.
  • Maintain derivative documentation and support hedge accounting requirements in partnership with Accounting.
  • Prepare monthly and quarterly FX exposure reports for Treasury leadership and executive management.
  • Support earnings guidance and financial disclosures related to foreign exchange.

Treasury Strategy & Capital Markets Support
  • Partner with the Executive Director, Risk Management on enterprise financial risk management initiatives.
  • Assist with debt financing, refinancing, and capital markets transactions involving foreign currency exposure.
  • Evaluate opportunities to optimize natural hedging strategies and balance sheet management.
  • Support bank relationship management related to foreign exchange products and services.

Treasury Governance & Policy Development
  • Develop Treasury policies governing financial risk management.
  • Establish governance processes for hedge approvals, documentation, and compliance.
  • Partner with Treasury operations to ensure compliance with internal controls, delegated authority, SOX requirements, and accounting standards.
  • Support internal and external audits related to Treasury and derivatives activities.

Leadership & Development
  • Provide leadership and technical guidance to Treasury Analyst supporting financial risk management.
  • Foster a culture of continuous improvement, collaboration, and professional development.

Education
  • Bachelor's degree in Finance, Economics, Business Administration, Accounting, or a related field.
  • MBA, Master's in Finance, CFA, CTP, FRM (Financial Risk Manager), or equivalent professional certification preferred.

Qualifications
  • 7+ years of progressive experience in Treasury, Capital Markets, Financial Risk Management, Corporate Finance, Investment Banking, or FP&A.
  • Experience managing foreign exchange exposures and executing derivative transactions.
  • Strong understanding of global financial markets, foreign exchange products, and hedging strategies.
  • Knowledge of hedge accounting (ASC 815 or IFRS equivalent) and collaboration with Accounting teams.
  • Experience developing financial models, scenario analyses, and executive reporting.
  • Advanced proficiency in Excel; experience with Power BI, Bloomberg, Reuters, Kyriba, FXall, or similar Treasury platforms is preferred.
  • Strong analytical, project management, and communication skills.
  • Ability to influence stakeholders and communicate complex financial concepts to non-technical audiences.

Unlike traditional FX roles focused primarily on trade execution, this position offers the opportunity to design strategy, implement governance, leverage technology, and influence enterprise-wide financial decisions.

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