CrawlJobs Logo

Corporate Financing & Hedging Manager

Belgium, Brussels · Job Posted February 21, 2026
Apply Position
Job Link Share

Job Description

The Corporate Finance department manages the Group's cash flow and debt, acting as a service centre for the affiliates. It ensures that the Group can meet its financial obligations and has sufficient financial means to implement its strategy and investment programme. The department maintains relationships with a diversified portfolio of financial counterparties, monitors market conditions and uncertainties. Corporate Finance is also responsible managing risks related to foreign exchange, interest rates, and counterparties. Mission is in collaboration with the Corporate Finance Manager, you will be responsible for both long-term and short-term corporate and project financing. Also help maintain strong relationships with banks and investors. Additionally, you will manage hedging activities for the Company’s Group, and oversee treasury operations related to assets and liabilities.

Job Responsibility

  • Negotiate optimal terms for Financing arrangements, foreign exchange transactions and hedging instruments
  • Leverage expertise in sustainable finance and ESG-related instruments to support the Group’s transition and innovation goals
  • Propose tailored financing solutions for both core operations and new business initiatives
  • Monitor financial markets and assess risk exposure to inform hedging strategies
  • Access financial markets to secure funding aligned with the Group’s evolving needs
  • Build and maintain strong relationships with banks and institutional investors
  • Evaluate funding requirements and market conditions to determine the most suitable debt instruments
  • Design and structure innovative financial products when needed
  • Lead the execution of debt-raising processes and close transactions efficiently
  • Ensure full compliance with regulatory reporting and accounting standards
  • Monitor interest rate, foreign exchange, and liquidity risks in collaboration with the back office team
  • Recommend and implement appropriate hedging strategies to mitigate financial risks
  • Negotiate competitive terms for hedging and FX transactions
  • Oversee treasury reporting and accounting related to interest rate, FX, and liquidity positions
  • Supervise financing activities
  • Ensure accurate execution and documentation of hedge accounting in line with applicable standards
  • Maintain an active network of financial market stakeholders, including banks and investors
  • Provide market intelligence and financing insights across the Group
  • Support internal departments with financial due diligence, particularly in M&A and strategic projects

Requirements

  • Master's degree in Finance, Economics, or Business Engineering
  • Proven experience in securing and managing corporate and project financing, including designing debt structure, and accessing capital markets
  • Expertise in monitoring and managing interest rates, exchange rates, and liquidity risks, as well as negotiating hedging transactions
  • Proficiency in daily treasury activities
  • Strong analytical skills to evaluate financial data and provide accurate reporting
  • In-depth understanding of financial markets, including market conditions and trends
  • Comprehensive knowledge of various debt instruments and their applications
  • Excellent verbal and written communication skills to effectively interact with internal and external stakeholders
  • Strong negotiation skills to secure optimal financing and hedging conditions
  • Ability to work collaboratively with cross-functional teams and build strong partnerships
  • Ability to thrive in a dynamic and demanding environment
  • Ability to maintain and expand a network of relationships with banks, investors, and financial market players
  • A keen interest in the energy transition and related sustainable finance concepts
  • Fluency in English, Dutch, and/or French

Looking for more opportunities?

Search for other job offers that match your skills and interests.

Similar Jobs for

Corporate Financing & Hedging Manager

8 matching positions

Manager Corporate and Trade Finance

Location
Location
India , Gurugram
Salary
Salary:
Not provided
https://www.randstad.com Logo
Randstad
Expiration Date
July 04, 2026
Flip Icon
Requirements
Requirements
  • Education: B. Com + CA Inter | CA / MBA (Finance) preferred
  • Experience: 8–15 years overall experience + min. 3 years in Trade Finance (in-house preferable) + min. 3 years in Corporate Finance (in-house only) + min. 3 years in Treasury
Job Responsibility
Job Responsibility
  • Treasury Operations (incl. CFS Corporate)
  • Trade Finance (Export-Import | FEMA / RBI) (incl. Marine Insurance Declarations, DGFT Licenses, Custom Dept Notices & Query Handling)
  • Banking Relationships & Operations
  • Forex Dealing & Hedging
  • Debt & Capital Management
  • Fund Raising
  • Charge Management
  • Lender & Rating Compliances
  • WOS Overseas UIN compliance and filing Returns
  • Fulltime
!
Read More
Arrow Right
New

Manager, Treasury – Foreign Exchange

This is where your work makes a difference. At Baxter, we believe every person—r...
Location
Location
United States , Deerfield
Salary
Salary:
112000.00 - 154000.00 USD / Year
https://www.baxter.com/ Logo
Baxter
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor's degree in Finance, Accounting, or a related field preferred
  • CFA preferred
  • Minimum of 5 years of experience in corporate treasury, foreign exchange, capital markets, or a related discipline preferred
  • Strong financial modeling and analytical skills with experience using ERP systems, treasury management systems, and data tools such as Cognos, Power BI, Excel, or SQL
  • Ability to operate effectively in a complex, multinational environment with cross‑functional stakeholders
  • Experience supporting compliance requirements such as Dodd‑Frank, SOX, or EMIR
  • Ability to communicate complex financial concepts clearly to both technical and non‑technical audiences
  • Demonstrated ability to drive automation, process improvement, and data integration within treasury workflows
Job Responsibility
Job Responsibility
  • Lead global FX risk management activities, including exposure forecasting, hedging strategies, policy development, and analytics
  • Monitor global currency markets and macroeconomic trends to support strategic and tactical decision‑making
  • Partner with Finance, FP&A, Accounting, and business units to identify, assess, and mitigate FX risks across the enterprise
  • Oversee FX trading execution in alignment with approved policies, controls, and risk limits, including governance of the centralized derivatives portfolio
  • Manage the relationship with Chatham Financial, supporting FX execution and hedge accounting activities
  • Maintain relationships with global banking partners and external FX service providers to support pricing, execution, and market access
  • Prepare and deliver FX and market risk reporting for senior leadership and key stakeholders
  • Drive process improvements and automation across FX analytics, reporting, and execution workflows
What we offer
What we offer
  • Support for Parents
  • Continuing Education/ Professional Development
  • Employee Heath & Well-Being Benefits
  • Paid Time Off
  • 2 Days a Year to Volunteer
  • medical and dental coverage that start on day one
  • insurance coverage for basic life, accident, short-term and long-term disability, and business travel accident insurance
  • Employee Stock Purchase Plan (ESPP), with the ability to purchase company stock at a discount
  • 401(k) Retirement Savings Plan (RSP), with options for employee contributions and company matching
  • Flexible Spending Accounts
  • Fulltime
Read More
Arrow Right
New

Global Risk Associate

Location
Location
United States , Houston
Salary
Salary:
Not provided
https://www.edp.com Logo
EDP
Expiration Date
July 08, 2026
Flip Icon
Requirements
Requirements
  • Bachelor's degree in Business Administration, Economics, Engineering, Finance, Mathematics or related field
  • 3+ years in energy markets, market risk, trading risk, origination, consulting, corporate finance, analytics or a related field
  • Ability to read, write and speak fluent English
  • Strong Excel and PowerPoint skills
  • Good understanding of statistics, corporate finance, accounting and risk metrics
  • Competency in analytical problem solving, communication, stakeholder management, customer / partner relationships and technology-enabled process improvement
Job Responsibility
Job Responsibility
  • Be part of the Market Risk function within BEF Risk and GEM, supporting recurring risk governance, reporting and management materials
  • Monitor and control market risks in open exposures arising from generation, commercial contracts, hedging activity and related market products
  • Calculate, analyze and monitor key risk metrics for energy portfolio activities, including exposure, sensitivities, stress scenarios, limit usage and other recurring risk indicators
  • Support the definition, implementation and monitoring of risk limits, escalation processes, risk appetite and governance frameworks
  • Analyze price, volume, shape, basis and congestion risks across relevant power and environmental markets
  • Support the assessment of hedging strategies and market instruments used to manage portfolio risks
  • Contribute to liquidity, collateral and stress-testing assessments linked to market movements and portfolio evolution
  • Support Market Risk input to origination and commercial teams, including analysis of contract structure, shape, optionality, tenor, delivery considerations and risk-return profile
  • Support market operations with risk models for hedging, congestion, scheduling and market participation
  • Support investment and portfolio analyses by assessing relevant market risk drivers, financial risk factors, counterparty considerations and profitability sensitivities
  • Fulltime
Read More
Arrow Right
New

Vice President, Equities Delta One Middle Office Senior Manager

Citi’s Markets business provides world-class solutions and an unmatched global p...
Location
Location
Hong Kong SAR , Kowloon
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 8-10 years in a relevant role (e.g., Middle Office, Prime Brokerage Operations, Trade Support), with proven record of managerial experience
  • Deep knowledge of Cash Equity and Equity Swaps, and the complete trade lifecycle (trade capture, settlements, reconciliations, corporate action) is essential
  • Proven experience delivering exceptional service to clients
  • Excellent analytical skills with a talent for making sound, evaluative judgments in complex and dynamic situations
  • Track record of successfully improving processes, automating workflows, and contributing to technology projects
  • A proactive, results-oriented professional with an unwavering focus on risk management and building a strong control environment
  • Bachelor's degree in Finance, Business, or a related field
  • Master's degree preferred
Job Responsibility
Job Responsibility
  • Front-to-Back reconciliations on Stock Hedge, Equity Swap, Pnote, FX, ETF, Convertibles
  • Trade capture and exception management – technology outage, STP fails, external/internal set up issues
  • Collaboration with Asset Servicing teams on Corporate Action processing
  • Give-In and Cross on Swap processing across relevant APAC markets
  • Full trade lifecycle management on Equity Swap from MTM reset valuations to settlement
  • Business Partnership & Regional Growth: Act as a vital liaison and escalation point to Front Office Sales and Trading, supporting our growing client roster and the expansion of our business footprint in Asia
  • Process & System Enhancement: Drive the evolution of our operating model. Partner with business and technology teams on system enhancement projects to increase scalability and capacity
  • Operational Risk & Control: Proactively manage operational risk by adhering to and building upon our established control framework
  • Performance & Risk Management Reporting: Compilation and trend analysis of weekly KPI, KRI, MIS, GRC decks to Business Heads and Senior Stakeholders
  • Team Leadership: Mentor and develop talent, fostering a culture of continuous improvement and deep product expertise
What we offer
What we offer
  • Access to telehealth options, health advocates, confidential counseling and more (coverage varies by country)
  • Expanded Paid Parental Leave Policy
  • Access to an array of learning and development resources
  • Programs that help employees balance their work and life, including generous paid time off packages
  • Resources and tools to volunteer in the communities
  • Fulltime
Read More
Arrow Right
New

Chief Financial Officer

We are seeking a high-caliber, commercially astute, and dynamic Chief Financial ...
Location
Location
Malaysia , Johor Bahru
Salary
Salary:
20000.00 - 40000.00 MYR / Month
https://www.randstad.com Logo
Randstad
Expiration Date
August 11, 2026
Flip Icon
Requirements
Requirements
  • Mandatory membership with the Malaysian Institute of Accountants (MIA)
  • Active professional certifications such as ACCA, CPA Australia, ICAEW, or CIMA
  • Minimum of 12–15 years of progressive financial leadership experience
  • At least 5 years as a CFO or Finance Director within a heavy/high-volume manufacturing environment
  • Regional (ASEAN) exposure
  • Deep, practical expertise in manufacturing cost accounting, supply chain finance, regional taxation, and corporate fundraising
  • Dynamic and visionary leader
  • Exceptional interpersonal and negotiation skills
  • Must be currently based in Johor Bahru or entirely willing to permanently relocate to JB
  • Fluency in English and Bahasa Malaysia
Job Responsibility
Job Responsibility
  • Partner with the executive board to design and execute a robust 5-year regional expansion roadmap, managing capital structures across multiple currencies and jurisdictions
  • Conduct advanced corporate planning, feasibility modeling, and post-investment appraisals for new manufacturing plants, warehouse expansions, and cross-border joint ventures
  • Structure and negotiate complex corporate finance exercises, including regional fundraising, bank credit facilities, and asset-backed financing
  • Deliver aggressive cost-containment strategies by working directly with regional Plant Managers to audit manufacturing lines, material yield variances, and standard costing structures
  • Maximize regional working capital efficiency by designing optimized inventory control cycles, managing cash release loops, and tracking volatile raw material procurement pipelines
  • Ensure robust financial oversight of cross-border logistics, import/export custom tariffs, and tax compliance (e.g., Free Trade Zone incentives, reinvestment allowances)
  • Formulate and implement sophisticated foreign exchange (FX) hedging strategies to shield the group’s cross-border transactions and profit margins from currency fluctuations
  • Oversee statutory reporting, cash flow forecasting, and consolidated regional tax planning to optimize the group's effective tax rate across diverse fiscal regimes
  • Champion strict internal control frameworks, corporate governance, and risk mitigation policies across all manufacturing sites
  • Lead, mentor, and unify a diverse, multi-cultural finance and accounting team based in Johor Bahru and regional satellite offices
What we offer
What we offer
  • Performance bonuses
  • Housing/car allowances
  • Comprehensive corporate healthcare benefits
  • Fulltime
Read More
Arrow Right

Senior Treasury Manager

This role gives the individual extensive Treasury exposure to the global Group f...
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
collinsongroup.com Logo
Collinson
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Significant experience in an international corporate treasury environment, with responsibility across cash management, FX, banking, and treasury operations
  • Experience in delivering and implementing Treasury related projects with technical experience
  • Excellent communication, stakeholder engagement and influencing skills
  • Strong hands-on experience with Treasury Management Systems
  • ACT / AMCT / MCT and/or ACA / ACCA / CIMA (or equivalent) strongly preferred
  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • Advanced Excel skills
  • Self-starter and able to work in an organised and methodical way so that internal and external deadlines are met in a timely manner. Priorities can change daily, calling for someone who is diligent, organised and able to work under pressure
  • A practical hands-on attitude is required together with the ability and initiative to suggest and implement process change
  • Able to work effectively with people across all areas of the business and build effective working relationships
Job Responsibility
Job Responsibility
  • Own Group cash and liquidity management (daily and medium term), ensuring optimal funding, visibility, and efficient deployment of cash globally
  • Oversee global cash positioning, forecasting, pooling, sweeping, and intercompany funding to minimise trapped cash and improve liquidity outcomes
  • Support and enhance the Group’s FX risk management framework, ensuring effective exposure management, hedging execution, and policy compliance
  • Oversee core treasury operations including daily cash and FX activity, settlements, intercompany netting, bank account management, guarantees, and letters of credit
  • Ensure robust treasury controls, documentation, and governance
  • maintain compliance with regulatory, audit, banking, and KYC requirements
  • Collaborate with the Group Head of Treasury to develop, maintain, integrate and monitor Global Treasury policies and internal controls to prevent fraud and protect company assets
  • Support with TMS administration, data integrity, enhancements, and integration with ERP platforms
  • Drive automation, standardisation, and continuous improvement of treasury processes and reporting
  • Deliver high‑quality treasury reporting, insights, and analysis for senior leadership, committees, and external stakeholders
  • Fulltime
Read More
Arrow Right

Private Credit Head of Accounting

Robert Half Financial Services are hiring for a Private Credit Head of Accountin...
Location
Location
United States , New York
Salary
Salary:
250000.00 - 275000.00 USD / Year
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Active CPA license
  • 20+ years Fund Accounting experience at an Investment firm or Big 4/Public firm
  • Knowledge of Private Credit, CLO Funds or Distressed Credit
  • Deep understanding of fund structures, carry vehicles, investment accounting, and valuation methodologies
  • Experience managing both internal accounting teams and third-party administrators
  • Strong leadership and stakeholder management skills
  • Bachelors or Masters in Accounting
Job Responsibility
Job Responsibility
  • Lead and manage the in-house accounting oversight team responsible for private credit funds and carry vehicles
  • Act as subject matter expert for the business and provide sound accounting guidance on complex transactions, including deal structuring, valuation, and fair value accounting
  • Oversee relationships with third-party fund administrators in conjunction with operations team, ensuring service quality, timeliness, and compliance
  • Ensure appropriate internal oversight review procedures, taking into consideration operational efficiencies, risk areas, and materiality thresholds
  • Develop and maintain accounting policies and procedures tailored to private credit
  • Oversee treasury management activities performed internally and externally
  • Ensure alignment between investment objectives and accounting treatment, including implications for financial reporting, tax, and investor communications
  • Contribute to cost control initiatives by identifying process improvements and optimizing resource allocation
  • Support the development of infrastructure, systems, and processes to scale business growth and complexity
  • Contribute to RFPs, due diligence and onboarding of new products/clients
What we offer
What we offer
  • bonus
  • Fulltime
Read More
Arrow Right

SAP Treasury and Risk Management (TRM) Analyst / Specialist

We are hiring a Treasury and Risk Management (TRM) professional to support the c...
Location
Location
India , Bangalore
Salary
Salary:
Not provided
nttdata.com Logo
NTT DATA
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor's degree in Finance, Accounting, Economics, Business, or a related field
  • Relevant experience in Treasury, Corporate Finance, or Treasury Risk Management
  • Strong understanding of: cash forecasting, liquidity management, debt instruments, treasury investments, FX and interest rate risk concepts
  • Experience working with treasury processes, controls, and reporting
  • Strong analytical and problem-solving skills
  • Advanced Excel skills
  • experience with treasury or ERP systems is preferred
  • Good communication and stakeholder management skills
Job Responsibility
Job Responsibility
  • Manage and support cash flow forecasting and liquidity planning
  • Monitor and analyze cash positions, funding needs, and short- and long-term liquidity requirements
  • Support treasury investments, including tracking and reporting of company-owned investments such as funds, equity holdings, and other financial instruments
  • Manage borrowings and debt instruments, including loans, revolvers, bonds, notes, and related interest/payment tracking
  • Support financial risk management activities, including monitoring exposures related to: foreign exchange, interest rates, liquidity, commodities, credit risk
  • Support and track FX hedging transactions and related treasury controls
  • Prepare treasury-related analysis, reporting, and recommendations for management decision-making
  • Partner with finance, controllership, and business stakeholders to ensure treasury activities are aligned with company policies and funding strategies
  • Maintain treasury-related documentation, controls, and process standards
  • Support treasury systems/process improvement initiatives in the TRM area
Read More
Arrow Right