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Corporate Treasury Risk Manager

Fluence
United Statesfull_timeVerifiedPosted 22 Jun 2023

About the role

Fluence (Nasdaq: FLNC) is a global market leader in energy storage products and services and digital applications for renewables and storage. With a presence in 30 global markets, Fluence provides an ecosystem of offerings to drive the clean energy transition, including modular, scalable storage products, comprehensive service offerings, and the Fluence IQ platform, which delivers AI-enabled digital applications for managing and optimizing storage and renewables. The company is transforming the way we power our world by helping customers create more resilient and sustainable electric grids. For more information, please visit fluenceenergy.com. OUR CULTURE AND VALUES
We are guided by our passion to transform the way we power our world. Achieving our goals requires creativity, diversity of ideas and backgrounds, and building trust to effect change and move with speed.
We are Leading Fluence currently has thousands of MW of energy storage projects operated or awarded worldwide in addition to the thousands of MW of projects managed by our trading platform—and we are growing every day.
We are Responsible Fluence is defined by its unwavering commitment to safety, quality, and integrity.
We are Agile We achieve our goals and meet our customer’s needs by cultivating curiosity, adaptability, and self-reflection in our teams.
We are Fun We value the diversity in thought and experience of our coworkers and customers. Through honest, forthcoming, and respectful communications we work to ensure that Fluence is an inclusive and welcoming environment for all. 
ABOUT THE POSITION:This position is a management role responsible for coordination of activities related to management of treasury specific financial risks at the corporate level, including foreign exchange (FX), interest rate and commodities.

Roles & Responsibilities:

  • Primary responsibility for consolidating and netting exposures to currencies and interest rates and commodities. Builds reports and analytics.
  • Reports gross and net exposures to Fluence management, including MtM, sensitivities and VaR.
  • Market intelligence, market analysis and insights to Fluence leadership.
  • Designs and executes Corporate FX, interest rate and commodities management strategies to benefit company portfolio.
  • Implements system improvements to capture and track exposures and trades and achieve workflow efficiencies, standardization and automation across multiple business units.
  • Maintains global Hedging Policy, processes and controls and ensures proper documentation to comply with internal and external policies and regulations.
  • Partners with Accounting, Tax, Financial Planning and other groups to ensure visibility into sources of risk, optimal strategies to minimize cash flow and P&L exposure.
  • Supports various process and systems initiatives within Treasury organization.

Skills & Qualifications:

  • 10+ years of experience In Treasury Risk Management.
  • Strong communication and presentation skills
  • Strong analytical skills
  • Financial markets and derivative products expertise.
  • Understanding of trading activities and systems.
  • Derivative structuring and execution experience.
  • Systems expertise: global Treasury systems, Bloomberg, risk analytics systems.


Fluence IS AN EQUAL OPPORTUNITY EMPLOYER and fully subscribes to the principles of Equal Employment Opportunity to ensure that all applicants and employees are considered for hire, promotion, and job status without regard to race, color, religion, sex, national origin, age, disability, veteran status, sexual orientation, marital or familial status.

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Company

Fluence

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