Posted:
10/5/2025, 6:20:11 PM
Location(s):
Geneva, Switzerland ⋅ Geneva, Geneva, Switzerland
Experience Level(s):
Senior
Field(s):
Finance & Banking
Key Responsibilities
Foreign Exchange (FX) Risk
Lead the identification and assessment of FX risk exposures across trading and non-trading books.
Collaborate with commodity traders, treasury, and finance teams to evaluate hedging needs and advise on optimal hedging strategies.
Manage and optimise FX trading lines with banking counterparties, ensuring adequate capacity, competitive pricing, and alignment with the firm's liquidity and hedging needs.
Drive the development and implementation of technology solutions for real-time FX exposure identification and P&L attribution, enabling accurate, timely insights to support trading, risk, and treasury decision-making.
Stay informed of macroeconomic, geopolitical, and regulatory developments affecting currency markets.
Interest Rate Risk
Lead the management of interest rate risk across both the commodity trading and corporate financing books.
Collaborate with Treasury and Finance teams to manage rate exposures arising from funding and liquidity decisions.
Evaluate risks associated with interest rate curves, basis spreads, and macroeconomic drivers (e.g., inflation, policy rates).
Ensure interest rate risk measurement methodologies are aligned with applicable accounting standards and internal financial reporting procedures, supporting accurate valuation, hedge accounting, and compliance.
Strategic and Operational Leadership
Act as the primary risk advisor on FX & Rates to senior management and commodity traders.
Lead the development of internal models, tools, and dashboards to enhance exposure reporting and hedging responsiveness.
Lead a small but high-performing team, fostering expertise, ownership, and collaboration.
Stakeholder Management
Partner with Finance, IT, Operations, and business units to align FX & Rates Risk Management with broader organisational needs
Report to executive leadership on technology strategy, initiatives, and performance
Manage relationships with banking partners
Collaborate with Deals Desk, Accounting, Internal Audit, Risk Management and Compliance Teams
Develop and lead change management plans to support transitions to new systems or processes.
Qualifications
Education, Experience & Technical Knowledge
Bachelor's degree in Finance; MBA or advanced degree preferred
10+ years of progressive experience in treasury, FX, Rates, and financial technology roles
Deep knowledge of derivatives and underlying markets — both theoretical and practical.
Leadership & Skills
Experience managing global teams and cross-functional projects
Strong stakeholder engagement skills; able to translate technical insights into commercial decisions.
Excellent communication and stakeholder management skills
Proven ability to drive change and innovation in complex organisations
Reporting directly to Global Head of Group Treasury
Equal Opportunity Employer
We are an Equal Opportunity Employer and take pride in a diverse workforce! We do not discriminate in recruitment, hiring, training, promotion or other employment practices for reasons of race, colour, religion, gender, sexual orientation, national origin, age, marital or veteran status, medical condition or handicap, disability, or any other legally protected status.
Website: https://trafigura.com/
Headquarter Location: Singapore, Central Region, Singapore
Employee Count: 10001+
Year Founded: 1993
IPO Status: Private
Last Funding Type: Post-IPO Debt
Industries: Industrial ⋅ Mineral ⋅ Oil and Gas ⋅ Shipping ⋅ Supply Chain Management