Senior Analyst, Financial Risk Management at BristolMyers Squibb
Princeton, New Jersey, USA -
Full Time


Start Date

Immediate

Expiry Date

28 Nov, 25

Salary

89198.0

Posted On

28 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Computer Science, New Concepts, Atlas, Tax, Organization Skills, Technology, Financial Analysis, Addition, Written Communication, Finance

Industry

Financial Services

Description

WORKING WITH US

Challenging. Meaningful. Life-changing. Those aren’t words that are usually associated with a job. But working at Bristol Myers Squibb is anything but usual. Here, uniquely interesting work happens every day, in every department. From optimizing a production line to the latest breakthroughs in cell therapy, this is work that transforms the lives of patients, and the careers of those who do it. You’ll get the chance to grow and thrive through opportunities uncommon in scale and scope, alongside high-achieving teams. Take your career farther than you thought possible.
Bristol Myers Squibb recognizes the importance of balance and flexibility in our work environment. We offer a wide variety of competitive benefits, services and programs that provide our employees with the resources to pursue their goals, both at work and in their personal lives. Read more: careers.bms.com/working-with-us .
Position Title: Senior Analyst, Financial Risk Management

SUMMARY:

Working within Corporate Treasury and reporting to the Director of Financial Risk Management, this role supports the execution of the foreign exchange hedging programs, investing the BMS cash portfolio, pension and benefits plan, and will participate in various projects across the broader Treasury organization.

Key responsibilities include:

  • Balance Sheet FX Hedging Program
  • Aggregate and validate balance sheet FX exposure from ERP systems
  • Execute hedges on 360T and ensure appropriate legal entity allocation
  • Identify and analyze drivers of variance between actual P&L and forecast
  • Daily management >$10B investment portfolio
  • Partner cross-functionally to ensure sufficient daily cash and liquidity
  • Manage portfolio based on daily cash position and market opportunities
  • Pensions and 401k Benefits
  • Monitor and report on the performance of retirement plan investments
  • Assist with audits of pension and savings plans, and SOX control requirements
  • Support Financial Risk Management colleagues with interest rate hedging, cash flow FX hedging, commercial paper issuance, and net investment hedging
  • Partner with technology for improvements/implementations

Skills, Competencies and Knowledge:

  • Strong analytical and technical skills
  • External focus, strategic perspective, attention to details
  • Adheres to highest ethical standards and values
  • Proactive approach and ability to partner with internal and external stakeholders, including corporate accounting, technology, tax, banks, European Treasury Center, CFA, Atlas, and Quantum

Education / Experience

  • Bachelor’s degree in Finance, Business, Computer Science or a related discipline
  • Finance interest or experience in treasury, financial analysis, audit, or accounting in a corporate setting
  • The individual should possess strong oral and written communication, problem solving, and organization skills. In addition, the ability to learn new concepts quickly and work with internal and external business partners with collaboration mindset

If you come across a role that intrigues you but doesn’t perfectly line up with your resume, we encourage you to apply anyway. You could be one step away from work that will transform your life and career.

How To Apply:

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Responsibilities
  • Balance Sheet FX Hedging Program
  • Aggregate and validate balance sheet FX exposure from ERP systems
  • Execute hedges on 360T and ensure appropriate legal entity allocation
  • Identify and analyze drivers of variance between actual P&L and forecast
  • Daily management >$10B investment portfolio
  • Partner cross-functionally to ensure sufficient daily cash and liquidity
  • Manage portfolio based on daily cash position and market opportunities
  • Pensions and 401k Benefits
  • Monitor and report on the performance of retirement plan investments
  • Assist with audits of pension and savings plans, and SOX control requirements
  • Support Financial Risk Management colleagues with interest rate hedging, cash flow FX hedging, commercial paper issuance, and net investment hedging
  • Partner with technology for improvements/implementation
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