What You'll Do
Drive the hedging strategy and execution across Addi's warehouse facilities to protect the balance sheet from FX and rate volatility. Achieve and sustain accuracy in the daily Cash Flow Projection model by building and validating a standardized forecasting methodology. Define and implement a hedging strategy for each warehouse facility by evaluating FX and interest-rate exposure against Addi's risk appetite.
What We're Looking For
2-3+ years of experience in Treasury Front Office operations, specifically in a front-office/money desk role within a bank or financial company. Hands-on experience executing, monitoring, and closing FX and derivative transactions. Knowledge of instruments used in treasury operations, including fixed income, money markets, and FX products.
What We Offer
Competitive compensation with a generous salary and equity in the company. Opportunities for professional growth in a fast-scaling fintech environment. A chance to influence the company's technology, strategy, and culture.
Key Skills & Technologies
Additional Information
Experience Level
Mid-Level
Job Language
English
Employment Type
Full-time
Work Mode
Remote