Foreign Exchange (FX) & Fixed Income Dealer
Make our business, your business.
At Electrolux we are on a journey to shape living for the better. By creating desirable solutions and great experiences that enrich peoples’ daily
lives and the health of our planet, we want to be a driving force in defining enjoyable and sustainable living.
We have an opportunity to join our Market Operations Team as a Foreign Exchange (FX) & Fixed Income Dealer. Our Market Operations (MO)
team sits within the Group Treasury of Electrolux. The main objectives for the MO team are to support the strategy of Electrolux by wellbalanced
financial risk management, financial markets execution and debt management. The team is responsible for all FX execution, the
internal bank, funding, intercompany lending as well as supporting the different business area of the Group. Another key objective is to
minimize the cost and balance sheet risk in respect to the Groups pension liability.
As our next FX & Fixed Income Dealer, you will report to Head of Market Operations. You will be based at our HQ in Stockholm.
Regular day at work
As FX & Fixed Income Dealer you’ll execute trading related activities such as FX & Internal bank, netting, loans/depos as well as advising to
subsidiaries and macro analysis. You will work closely with business areas and other staff functions to reduce risk and evaluate opportunities.
You are someone who thrives in a multi-national company and has the ability to interact in different kind of social and cultural contexts. You
have strong internal drive, motivation and have a good sense for acting in the financial market. Ideally, you’ll have experience from treasury in
a multinational company or from bank within execution of derivatives. You have a strong interest in the financial market and the macro
WHO ARE YOU?
Good communicator - you set clear objectives and direction for others. You clarify prioritizations and have the ability to interact with
different functions and levels within the company.
Agile - Both reactive and proactive, you work efficiently and flexibly, to deliver results.
Analytical - With an eye for detail and the ability to interpret complex data, you can also translate this into meaningful, useful
information that informs decision-making.
Collaborative - You ask and you listen, you take ideas on board and work with your team, taking everyone in the same direction.
Open - you are open and willing to work in a broader context than the pre-defined scope
Strategic - You define the agenda and execute it with your team and across the business with a wide network of stakeholders.
At least 7 years’ Treasury experience preferable from large Corp
Extensive experience from FX management such as hedging and netting
Good knowledge of derivative instruments and pricing of financial instruments
Good knowledge of fundamental business concepts, industry & market trends
Experience and understanding of accounting statements is a plus (BS, P&L and CF)
University degree preferably within Finance and Administration
Good Excel Spreadsheet skills
Experience with Market data and Trading platforms is a plus (Bloomberg. Eikon, FXAll, etc.)
Experience of WSS is a plus
Fluency in English
Detta uppdrag är ett konsultuppdrag, där du blir anställd av OnePartnerGroup under tiden du är på uppdrag hos Electrolux.
Varaktighet: 6 månader med chans till förlängning
Vid frågor om tjänsten:
Kim Ruberg +46 701730661