Risk and Treasury Accountant
East Riding of Yorkshire
Risk and Treasury Accountant
- Permanent
East Riding of Yorkshire
The details
This vacancy has now expired.
Start your job searchThis position offers an excellent opportunity for a Finance professional skilled in risk management, treasury functions, compliance and accounting to work in a fast-paced, highly regulated environment. It also provides exposure to senior leadership and strategic decision-making processes.
Key Responsibilities
- Commodity Risk Reporting and Analysis
- Prepare daily risk reports summarizing commodity positions
- Identify policy breaches and support real-time commercial decisions
- Perform month-end mark-to-market reporting and hedging journal preparation
- Manage cash flow and forecast treasury activities per group policies.
- Advise senior management on foreign exchange (FX) risk
- Execute FX trades when necessary
- Own and maintain the company's Risk Register
- Develop and align Enterprise Risk Management (ERM) policies
- Organize and present at Risk Committee meetings.
- Performance Metrics & Reporting:
- Generate KPI reports on trade activities and contract data accuracy.
- Work closely with traders and back-office functions to ensure timely information capture
- Compliance Responsibilities
Key Skills & Attributes:
- Technical Finance Expertise: Proficient in commodity risk, hedging, and treasury management.
- Analytical Thinking: Ability to process and present complex risk exposures clearly for informed decision-making.
- Compliance Knowledge: Familiarity with industry-specific safety and quality standards
- Collaborative Teamwork: Acts as a liaison between front office traders, back-office functions, and senior management.
- Attention to Detail: Ensures accuracy in contract information, risk registers, and reporting.
Please Apply using the links below to secure this great opportunity today!
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