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Roles & Responsibilities:
1. Market Analysis & Strategic Outlook
. Macro Market Analysis & Scenario Forecasting: Conduct in-depth analysis of
macroeconomic trends and develop FX outlook scenarios.
. Risk Assessment & Reporting: Identify current and potential FX risks and share
strategic insights with management and relevant departments.
2. FX Rate Policy & GM-Centric System Optimization
. FX Rate Decision-Making & Governance: Provide expert opinions on rate-setting
methodologies and establish a structured decision-making framework.
. System Analysis & Enhancement: Analyze the existing FX rate system and drive
continuous improvements.
. Global Markets (GM) Strategic Advisory: Provide professional insights on FX-
related and new businesses from a GM perspective, identifying risks in FX structures and trade execution.
3. FX Hedging Strategy & Automation (Project Leadership)
. Comprehensive Hedge Structural Design: Architect the overall FX hedge
structure and automated systems.
. System Development & Operation (Ver 2.0): Lead the development, deployment,
and daily operation of the Automated FX Hedging System Ver 2.0.
. Hedge Execution (USD/KRW & Cross-Currencies): Execute hedging strategies for
USD/KRW and manageable cross-currencies to mitigate volatility.
. Non-Hedgeable Currency Monitoring: Monitor and manage exposure for non-
hedgeable currencies to maintain risk levels within acceptable limits.
4. Leadership, Education & Operational Monitoring
. Team Empowerment & Growth: Educate staff on FX structures and automated
systems to foster professional growth and motivation.
. Operational Monitoring: Oversee and monitor team-led operations of the
automated systems to ensure stability.
5. New Business Development & FX Market Intelligence
. Strategic Partnership Cultivation: Contribute to discovering and onboarding new
partners for FX-related and upcoming business ventures.
. FX Authority Stance Monitoring: Monitor the stance of monetary authorities (e.g.,
BOK, MOEF) specifically regarding market intervention, liquidity policies, and FX
market sentiment.
. Market-Driven Policy Alignment: Proactively drive internal FX strategy
adjustments based on market-specific shifts and external FX environmental
changes (excluding legal/compliance matters).
. Risk Identification in New Ventures: Evaluate potential FX risks in the early stages
of new business models to ensure sustainable growth.
Requirements:
- Since the FX team and CFO are located in Korea, must be fluent in Korean
- requires work experience more than 10 years
Job ID: 146499029