Treasury Risk Manager

Location: 

Strassen, LU

At Etex, our purpose Building Better Together underpins everything we do. 

As a leading global manufacturer of sustainable building materials, we are driven by a commitment to excellence, but it's our people that are our top priority.

We foster a culture where connection and collaboration empower our teams to thrive and perform at their best.

A career with us is an opportunity to grow, learn and lead, supported by our commitment to your development and well-being. 


About the role: 

Together, we’re shaping the future of construction. Ready to make your impact? Join us as Treasury Risk Manager and drive operational excellence!

 

Key Responsibilities:

  • Own and lead the Group-wide FX risk management framework, including exposure identification, governance, hedging strategy, execution, and compliance monitoring.
  • Consolidate and analyse FX exposures across the Group and assess their financial impact on business performance.
  • Coordinate FX exposure forecasting with local finance teams to ensure accurate risk visibility and planning.
  • Execute, supervise, and monitor FX hedging transactions while ensuring hedge effectiveness and proper accounting treatment.
  • Deliver comprehensive management reporting on FX exposures, hedging activities, and treasury risk metrics.
  • Support the monitoring, analysis, and management of the Group’s interest rate risk exposure across a EUR 2.5 billion debt portfolio.
  • Assist with the execution, documentation, and ongoing follow-up of interest rate hedging instruments, including interest rate swaps and cross-currency swaps.
  • Lead and enhance treasury systems, bank connectivity, reporting, digitalisation, process automation, and treasury data quality initiatives.
  • Manage and support broader treasury operations and strategic projects, including EMIR compliance, banking structures, intercompany netting, financing programs, and continuous improvement initiatives.

 

Key Requirements:

  • Several years of treasury experience in a multinational company, including exposure to complex treasury operations and financial risk management.
  • Proven experience in Foreign Exchange (FX) risk management and hedging activities.
  • Proven experience in Interest Rate (IR) risk management and hedging instruments, including derivatives.
  • Strong analytical skills with the ability to assess financial risks, exposures, and market impacts.
  • Ability to work autonomously with limited supervision, demonstrating ownership, initiative, and sound judgment.
  • Strong stakeholder management and communication skills, with the ability to interact effectively with internal and external partners globally.
  • Experience across a broad range of treasury activities beyond hedging, such as cash management, banking, treasury systems, reporting, and process improvement.
  • Strong technological aptitude and proficiency with treasury systems, Excel, and digitalization or automation initiatives.
  • Master's degree (or equivalent experience) combined with fluency in English and the flexibility to travel regularly for collaboration with the Group Treasury team.
  • Driving license

 

Why Join Us:

  • Etex's strong purpose 'Building Better together' is shaping a new future for the construction industry and helping to build a better future for all.
  • Our culture – we connect & care about those around us. We nurture teamwork, communities, partnerships and new ways of working, placing the highest importance on the safety and working environment of our people.
  • Our ‘Road to Sustainability 2030’ is our plan to help build a better, sustainable future. We work towards this vision by caring about our social and environmental impacts and developing innovative solutions.
  • We have a strong conviction that diversity of thinking helps us to deliver a strong and sustainable performance. It is also essential for us that everyone feels part of the team. In this spirit, we are committed to equal opportunities and zero tolerance towards discrimination.