· Prepare and execute weekly hedging for proposals for balance sheet, revenue, loyalty and net investment programs
· Engage in discussions to recommend optimal hedging strategies, hedging instruments, and operational execution.
· Manage foreign currency risk across a dynamic, multi-program FX hedge portfolio, including revenue hedging, balance sheet hedging, and net investment hedging.
· Lead automation initiatives to identify currency exposures efficiently and effectively, and develop appropriate hedging strategies.
· Partner with cross-functional teams to identify additional use cases for AI in Foreign Currency and Hedging process execution.
· Serve as a subject matter expert for Foreign Currency and Hedging for internal stakeholders, including Forecasting and Planning, Tax, Accounting, Internal Audit, and other teams.
· Maintain excellent and time-sensitive communication with internal and external stakeholders.
· Analyze hedging performance and investigate gaps, anomalies, and discrepancies.
· Consistently identify opportunities to improve program effectiveness and efficiency.
· Partner with the Cash Management team to support global liquidity needs.
· Lead ad hoc projects and initiatives across Treasury, including support for capital markets, investments, and other related areas.
· Provide coaching, mentoring, and guidance to team members.