This is a high-impact leadership role within the Treasury group of a growing manufacturer. This hybrid position will be in the office 3 days a week/remote 2 days and will be focused on global risk strategy, derivative oversight, and FX exposure. Key Highlights Lead the identification and mitigation of global financial risks Oversee derivative strategy and manage banking counterparties Collaborate with tax, legal, FP&A, and procurement teams Guide FX forecasting, execution, and risk reporting Ensure compliance with SOX controls and regulatory requirements Provide risk input on M&A activity and inter-company transactions process Experience of currency / commodity / interest rate risk hedging and exposure management is a must.