

Takes on challenging new role harnessing interpersonal skills, collaboration and problem-solving. Driven to deliver high-quality service and consistent results.
Direct Forex and commodities risk reporting to the Finance leadership for certain EMEA locations.
Monitor and maintain limits and exposures.
Balance and Off-Balance sheet reconciliations on a daily, weekly and monthly basis.
Hedge positions when close to or breaching exposure limits.
Active accounting coverage and support of the EMEA region.
Reconciliation and closing of the months and quarters for multiple Business Units. Working with SAP and Oracle.
Middle Office activities like Incoterms, physical, futures, derivatives and forex contracts checks and positions
Introduced to the complex processes and activities of the business, including forex risk and commodities risk
Mentorship of new colleagues.