As a Treasury Risk Manager, you will lead our financial risk management and hedging activities, including interest rate swaps, project-level cash flow hedging, net investment hedging, and foreign exchange risk management. You will be the primary subject matter expert for hedging strategies and derivative execution, partnering with internal stakeholders and external financial institutions to identify, assess, and mitigate financial market risks. You will also support treasury operations, liquidity management, and debt capital markets activities. You will report to the Assistant Treasurer and be located at our Cranberry Township, PA site. Hybrid Work Schedule.
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Job Type
Full-time
Career Level
Senior