Financial Markets Professional in Armonk, NY at IBM

Date Posted: 8/26/2018

Job Snapshot

Job Description

This position provides an opportunity to obtain detailed knowledge and related expertise of the significant aspects of corporate treasury and the capital and FX markets

Job Duties:
Participate in managing IBM Corporation’s global funding and investment requirements, including public bond and commercial paper issuances, as well as the investment strategy and execution, and be a trusted advisor on debt markets and access
Manage IBM Corporation debt and equity, and financial ratios
Participate in managing IBM Corporation’s global hedging programs, including optimizing the execution of all interest rate and FX hedging activities using various financial instruments
Maintain relationships with banks from the perspective of the business relationship and idea generation
Perform analysis to accurately identify transactional and translational FX exposures, including building and maintaining valuation models for currencies and assess performance of hedges
Develop, document and execute appropriate operating processes and hedging strategies to protect against the effect of financial markets’ impact on IBM's financial results
Evaluate prevailing market conditions to determine appropriate courses of action within stated operating guidelines and procedures
Monitor cross-border transactions and mitigate any associated risks
Evaluate alternatives utilizing techniques such as sensitivity, break-even analysis, and other financial or statistical modeling techniques
Evaluate and calculate currency risks and communicate to business units
Engage in strategic Treasury discussions and projects, and perform ad-hoc analyses with quick turnaround

Must have the ability to work in the US without current/future need for IBM sponsorship

Preferred Requirements:
Excellent communication skills, oral and written, with the ability to work in a team of high potential
Treasury professionals and cross-functional teams
Excellent analytical and quantitative skills
Outstanding ability to combine focus and attention to detail with execution in a dynamic environment
Insight into market and economic factors and their impact to various currencies

Job Code

Job Role

Specialty Skill Set

In-depth Knowledge of financial markets
Excellent Excel modeling skills to manage derivative instruments
Familiarity with Wallstreet System, a Treasury Management System

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