IM FX RM Manager
Job in
Milan, Lombardy, Italy
Listed on 2026-01-03
Listing for:
Altro
Full Time
position Listed on 2026-01-03
Job specializations:
-
Finance & Banking
Financial Compliance, Financial Analyst, Corporate Finance, Financial Consultant
Job Description & How to Apply Below
Johnson & Johnson is currently seeking a IM FX RM Manager to join our Innovative Medicine Foreign Exchange Risk Management team and be located in Milan Italy.
Inclusion Statement:
The Vision of the Johnson & Johnson Office of Inclusion is to unlock the potential of every individual empowering them to use their unique experiences, abilities, backgrounds and perspectives to drive meaningful change for employees, communities and our businesses around the world.
Locations
Aprilia Latina Italy, Imperia Italy, Latina Italy, Milano Italy, Pomezia Roma Italy
Key Responsibilities
Currency Ledger & Hedging Process Transition
Lead and coordinate hedge management support and related processes with Corporate GS and IMPO including owning corporate currency ledger.
Ensure effective implementation and ongoing support for the new hedging input tool (SCA) including training business partners and defining cutover plans for successful launch.
Own all relevant SOX controls associated with end-to-end hedging activities.
FX Risk Management & Analytics
Provide proactive support in identifying risk-mitigating flow changes including supporting projects to optimize service flows.
Deliver FP&A services and FX education on exposure management, hedging and hedge accounting.
Support planning cycles and provide latest thinking and business variance analysis (BVA) on all required cycles.
Project Work & Non-IMPO Linked FX Support
Lead and participate in global standardization and optimization initiatives related to FX management.
Support non-IMPO FX activities including process improvements, automation and deployment of digital solutions to increase efficiency.
Reporting & Business Partnering
Provide accounting and business partnering services covering end-to-end FX including exposure validation and operational adjustment insights.
Report out FX impact and interpret drivers of FX impacts, differentiating between controllable and non-controllable factors.
Review and own currency ledger supporting operational adjustments and future exposure changes.
Qualifications
Bachelor’s or advanced degree in Finance, Accounting or related field.
Confirmed experience in Accounting or Finance, preferably with exposure to sophisticated FX hedging processes.
Strong understanding of FX hedge accounting and related compliance requirements (SOX WWPs).
Business proficiency in English (oral & written).
Excellent communication skills, customer focus and proactive demeanour.
Ability to work independently and collaboratively in an international hybrid environment.
Proven initiative, attention to detail and ability to deliver under tight pressure.
High level of interest in digital technologies and process optimization.
Strong dedication to business ethics and Credo values.
Required Skills
Foreign Exchange Hedging
Foreign Exchange Market
Preferred Skills
Budget Management
Execution Focus
Financial Analysis
Financial Competence
Financial Forecasting
Financial Reports
Financial Risk Management (FRM)
Financial Trends
Internal Controls
Process Improvements
Risk Management
Sarbanes‑Oxley Compliance
Strategic Thinking
Technical Credibility
Employment Type
Full‑Time
Other details
Experience:
years
Vacancy: 1
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