Treasury Risk Manager - Cranberry, PA

Military Spouse Corporate Career Network•Cranberry Twp, PA
•Hybrid

About The Position

Westinghouse Electric Co. is seeking a Treasury Risk Manager to lead financial risk management and hedging activities. This role involves managing interest rate swaps, project-level cash flow hedging, net investment hedging, and foreign exchange risk management. The Treasury Risk Manager will be the primary subject matter expert for hedging strategies and derivative execution, collaborating with internal stakeholders and external financial institutions to identify, assess, and mitigate financial market risks. The position also supports treasury operations, liquidity management, and debt capital markets activities. The role reports to the Assistant Treasurer and is located at the Cranberry Township, PA site with a hybrid work schedule.

Requirements

  • Bachelor's degree or equivalent experience in Finance, Accounting, Economics, or Business Administration preferred.
  • Typically, 10+ years of experience in treasury, corporate finance, capital markets, financial risk management, or a related field.
  • CFA, CPA, CTP, or similar professional designation preferred.

Responsibilities

  • Manage hedging programs, including interest rate swaps, interest rate risk management, project-level cash flow hedging, net investment hedging, and foreign exchange exposure management and hedge execution.
  • Monitor market conditions, interest rate trends, foreign exchange markets, and other economic factors.
  • Evaluate financial risks and develop recommendations to mitigate exposure while supporting company goals.
  • Complete derivative transactions and maintain associated documentation and reporting.
  • Ensure compliance with treasury policies and hedge accounting requirements.
  • Develop analytical models to monitor performance of risk management strategies.
  • Support debt capital markets activities, including financings, refinancings, and ongoing debt portfolio management.
  • Evaluate funding alternatives and capital structure strategies.
  • Prepare financial analyses and presentations to support financing decisions and executive leadership reviews.
  • Coordinate with banks, advisors, legal counsel, and other external partners on capital markets transactions.
  • Support liquidity management, cash forecasting, banking activities, and treasury operations.
  • Identify opportunities to improve treasury processes, controls, and reporting capabilities.
  • Prepare recurring and ad hoc treasury reports for management and external stakeholders.
  • Support internal and external audits, compliance reviews, and financial reporting requirements related to treasury activities.

Benefits

  • Comprehensive Medical benefits (medical, dental, vision, prescription coverage)
  • Health Savings Account (HSA) with employer contributions
  • Wellness Programs
  • Employee Assistance Program
  • 401(k) with Company Match
  • Paid Vacations
  • Company Holidays
  • Flexible Work Arrangements
  • Educational Reimbursement
  • Comprehensive Career Programs
  • Global Recognition and Service Programs
  • Employee Referral Program
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