Manager of Treasury & Risk Management
Vaco LLC
About the Company Our client is a large mining company. They are looking for a Manager of Treasury & Risk Management to join their team! Manage centralized banking activities, cash management, investment and liquidity initiatives, including coordination with global banking providers and internal stakeholders.
- Partner with internal and external stakeholders (Treasury, Finance, Operations, Construction, Projects, Banking Counterparts, etc.) to lead the management of the company’s foreign exchange risks, including analysis of currency exposures and supporting hedging strategies (pre/post-trade).
- Support the refining and precious metals sales/trading process (pre/post-trade), gaining exposure to precious metals and capital market dynamics, as well as commercial decision-making.
- Contribute to commodity risk (input cost) management activities, including building an understanding of diesel and other commodity exposures and their impact on business operations.
- Provide leadership and guidance to operations and corporate teams on insurance coverage, contract language, and risk mitigation strategies. Coordinate and lead risk control visits and follow-up on recommendations to improve operational risk profiles.
- 7+ years of experience in treasury, corporate finance, or risk management
- Experience with cash management, global banking operations, and liquidity planning
$135k - $150k per year
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