The Corporate Treasury group of The Walt Disney Company is responsible for managing financial risk and ensuring adequate liquidity for the Company. Treasury oversees bank relationships, foreign exchange (FX) and interest rate hedging programs, financial risk management, financing and capital raising activities, cash management, enterprise consumer payments and directs the investment of retirement assets. The FX Risk Management team is responsible for managing the Company’s global foreign currency and commodities exposures and related hedging strategies, to mitigate risk and volatility in the Company’s earnings. Additionally, the team manages international liquidity, repatriation efforts and financing needs for the Company’s international subsidiaries. What you Will Do The Manager, Foreign Exchange Risk Management is a key member of the Treasury organization and will play a central role in overseeing Disney’s global FX hedging programs. This role combines financial market expertise, derivatives execution and strong communication, judgment, and leadership skills. The Manager will own core FX risk management processes, lead analytical and communication workstreams, and partner closely with internal stakeholders across Finance, Accounting, FP&A, and business segments. In addition, the Manager will have people management responsibilities and be responsible for the management and development of Analysts and Senior Analysts on the team. There will be opportunities to collaborate with the other Financial Markets groups within Treasury (such as Capital Markets and Pension/Investments).
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Job Type
Full-time
Career Level
Manager