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Singapore, Singapore, Singapore, VT

Full-time | Finance

About the job

About the Treasury team

NIKE Global Treasury designs, implements, and communicates the risk mitigation strategies and funding mechanisms needed to make the world’s largest sports brand run faster, smarter, and more securely. NIKE Global Treasury leverages internal and external relationships to ensure that NIKE is poised to achieve growth initiatives. Global Treasury works alongside business partners to ensure effective foreign exchange risk management, global liquidity and capital planning, as well as develops poignant presentations and insightful commentary to provide a forward-looking view of macroeconomic conditions. Global Treasury covers global foreign exchange, cash and banking, capital planning, trade finance operations and risk finance and claims. Treasury professionals are familiar with each functional area, and drive growth through many strategic partnerships within NIKE. Simply put, Global Treasury supports many roles to help the business grow. NIKE Global Treasury brings together strategy, macroeconomic perspectives, and process excellence to create value for the consumer. We deliver risk mitigation strategies, funding solutions, and planning capabilities that enable NIKE, Inc.'s businesses and brands worldwide. Our focus is to ensure that risk management strategies are seamlessly implemented and executed, while liquidity is properly placed to maximize consumer value, achieve marketplace opportunities, and bolster and protect profitable business growth.

About the role

As a Manager within Global Foreign Exchange (FX) Risk Management, you will be a leader in the NIKE Global Treasury group and collaborate with NIKE’s Corporate Finance teams. The successful candidate will bring to the team a solid background in foreign exchange markets as well as finance as we continue to evolve our global capabilities to gain efficiencies and maximize experiences. The ability to craft high-quality communications for senior leadership is essential. Our ideal candidate should likewise be passionate about collaborating with global teammates, storytelling, fostering an innovative and positive environment, and learning new topics to improve our strategic and analytical capabilities. In addition, you'll get to work alongside truly talented people, and help them enhance their performance by promoting collaboration and innovation.

Responsibilities

* FX execution for NIKE entities in the region in collaboration with our other FX execution centers in Portland-Oregon (WHQ) and Europe (EHQ).
* Forecasting, modeling, and analyzing / reporting FX exposures in collaboration with business planning managers in the region.
* Crafting compelling stories built on macro-economic insights and quantitative analysis.
* Creating high-quality content for senior leadership to support strategic proposals.
* Clearly and concisely communicating complex topics throughout the organization.
* Forecasting, modeling, and reporting the impact to profitability from the re-measurement of balance sheet exposures, hedging such exposures, and analyzing results.
* Collaborating closely with regional and global accounting as well as treasury teams to understand the monthly impact of FX on profitability.
* Participation in and execution of NIKE’s FX hedging strategy.
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