The Kemp Group (
www.kempgrp.com) focuses on accounting and financial positions because that is what we know best. Founded by a CPA, we have built a team of experienced search consultants comprised of current and former CPAs, controllers, cost accountants, credit managers, accounting managers, tax managers and big 4 auditors.
The Kemp Group is currently working with a client to fill a Manager of Treasury Risk Management position located in Charlotte NC.
Responsibilities:
Responsible for leading team that is responsible for setting fx,commodity and interest rate management policy.
Manage company's centralized fx, commodity and interest rate risk management programs.
Maintain global policies around FX, commodity and interest rate management and accounting for derivatives.
Assist business units and segments for the proper accounting for derivatives and monitor compliance.
Work with tax department to ensure that derivative instruments are in compliance with tax rules.
Analyze corporate and business unit financial impact form fx and commodty exposures.
Prepare management updates on current market conditionsin FX.
Train business unit personnel in risk management and derivative accounting.
Manage FXpress software.
Requirements:
Bachelors Degree in Accounting or Finance.
5-10 years experience in accounting or finance positions in a corporate environment.
Understanding of GAAP derivative accounting and documentation.
Solid understanding foreign exchange and commodities market fundamentals, instruments, and documentation.
CPA preferred.
Qualified and interested candidates should forward their resume in Microsoft Word format to The Kemp Group at recruiters@kempgrp.com
Please visit our New Web Site at www.kempgrp.com for a comprehensive listing of all of our open positions as well as background information on our company, professional staff and services.
We look forward to hearing from you!