Manager, Financial Risk Management

Bristol Myers Squibb

Princeton, NJ, US
Base: $88,150 - $106,811; bonus/equity: + incentiv...
Hybrid (50% onsite)
Foreign exchange hedging programs
Investing cash portfolio
Pension and benefits plan support
Bristol Myers Squibb is seeking a Manager of Financial Risk Management in Princeton, NJ, to oversee foreign exchange hedging programs and manage the company's cash portfolio. The ideal candidate will have a finance degree and a minimum of four years of relevant experience, with a focus on analytical skills and the ability to collaborate with various internal and external stakeholders

Job Summary

  • The Manager, Financial Risk Management role is positioned within Corporate Treasury and will report to the Director of Financial Risk Management.
  • This role is responsible for the execution of the foreign exchange hedging programs, investing the BMS cash portfolio and supporting the pension and benefits plan.
  • Bristol Myers Squibb recognizes the importance of balance and flexibility in our work environment.

Matching Summary

Match Score: 85

Bristol Myers Squibb is seeking a Manager of Financial Risk Management in Princeton, NJ, to oversee foreign exchange hedging programs and manage the company's cash portfolio. The ideal candidate will have a finance degree and a minimum of four years of relevant experience, with a focus on analytical skills and the ability to collaborate with various internal and external stakeholders.

Salary

Base: $88,150 - $106,811; Bonus/Equity: Additional incentive cash and stock opportunities may be available; Benefits: Health Coverage, Wellbeing Support, Financial Well-being and Protection, Work-life benefits

Skills & Requirements

Must-have

  • foreign exchange hedging programs
  • investing cash portfolio
  • pension and benefits plan support
  • balance sheet FX exposure aggregation
  • daily cash and liquidity oversight
  • retirement plan investment monitoring

Nice-to-have

  • AI tools for accuracy and efficiency
  • strategic perspective supporting financial activities
  • proactive approach and stakeholder partnership

Key Requirements

  • Bachelor's degree in finance, Business, or related
  • Minimum of four (4) years of finance experience
  • Experience in treasury, financial analysis, risk, audit, or accounting
  • Corporate setting experience required
  • Hybrid work model eligibility

Work Rights

Not specified

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