Esta es una vacante externa, deberás completar el proceso en el sitio de la empresa.
Descripción
About the role:
The Barry Callebaut Group is the world's leading manufacturer of high-quality chocolate and cocoa products. Our cocoa and chocolate businesses and the timing of sales versus the timing of purchases exposes us to commodity price risks, liquidity risk, foreign currency (FX) risk, and credit risks, among others.
The Regional Commodity Risk Analyst Americas reports into the Head of Americas Commodity Risk & Finance. The role controls the commodity position for all entities in the region Americas, calculates cocoa trading profits and the cocoa fair valuation and provides supporting analysis for position moves and valuation moves.
Key responsibilities include:
Commodity position control for cocoa and non-cocoa commodities
Review daily position moves from physical contracting and derivative hedging with sourcing teams. Sense check monthly position moves from processing and yield impacts on the position
Control the conversion of cover-sales contract into product sales contracts with sourcing and pricing teams
Monitor the risk position of the price list business, update forecasted sales volumes, monitor invoiced volumes vs forecasts
Update forecasts for cocoa sales and purchases to support the hedging decision of the cocoa trading team
Monitor limit compliance and document limit excesses
Cocoa trading profit and fair valuation calculation
Run the fair valuation of the contract portfolio and inventory for cocoa beans and cocoa products
Update benchmarks and parity adjustments for certification and Inco terms
Make plausibility checks of the result and movements
Prepare the accounting postings for the fair valuation
Calculate realized and unrealized cocoa trading profits
Make plausibility checks of the results and movements
Prepare the internal management reporting of trading profits
Prepare the input into the budget process and mid-term planning based on unrealized trading profits
Provide ad hoc analysis for commodity risk and profits, or related risks like FX, counterparty, liquidity risk Automate risk calculations and reports
About you:
University Master's degree in Finance (ideally with a quantitative focus) / Economics or similar education
Market risk management education (e.g. FRM) is a plus
Fluent in English
Minimum 5 years of experience in risk management or FP&A in a commodity sourcing or trading environment, commodity mid office department of a bank, or related experience in an audit or consulting firm
Experience in financial risk and P&L analysis for commodities
Strong MS Excel skills
Experience in SAP BW, Power BI and Python is a plus
What you can expect from Barry Callebaut:
Competitive salary and comprehensive benefits package
Environment that welcomes workplace flexibility An atmosphere where diversity is embraced, and inclusivity is second nature. We call it #OneBC! Just ask our champions with the Americas Women's Forum and the Racial Equality Forum!
Ability to grow personally and professionally within an organization that values development and internal career growth
Be part of our mission in making sustainability the norm through Forever Chocolate with priorities centered around prospering farmers, zero child labor, carbon and forest positive, and creating 100% sustainable ingredients in all of our products.
At Barry Callebaut, we are committed to Diversity & Inclusion. United by our strong values, we thrive on the diversity of who we are, where we come from, what we've experienced and how we think. We are committed to nurturing an inclusive environment where people can truly be themselves, grow to their full potential and feel they belong. #oneBC - Diverse People, Sustainable Growth.
If you want to learn more about Barry Callebaut, please find further information here.
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