Discover Şişecam
We were founded under the visionary leadership of Mustafa Kemal Atatürk, embracing modernity, growth, and prosperity. With 90 years of expertise, a team of nearly 23,000 dedicated employees, production facilities spanning 13 countries across four continents, and a sales network in more than 150 countries, Şişecam is steadfast in its 'Global Excellence' strategy.
Every achievement we make is a testament to the power of unity and shared dreams. We are committed to sustainable growth, ensuring that our endeavors enrich both our present and future generations.
Now, imagine being part of this dynamic community. Imagine your ideas shaping the future of a global leader. At Şişecam, your creativity and passion are not just welcomed—they are the driving force behind our progress. Here, you will find a place where your innovation is celebrated, and your efforts make a tangible impact on the world.
Join us, and let’s create a brighter future together. Being part of a team that is not just a workplace, but a community where every voice matters. Be part of a story where your contributions drive us forward. Be a part of Şişecam and let’s build a world of progress and prosperity together.
More about the Role
* Support the identification, measurement and monitoring of financial risks, including FX, interest rate, commodity price exposure and counterparty credit risk.
* Assist in developing and executing the Group’s hedging strategy across FX, interest rate and commodity exposures, ensuring alignment with the Group’s risk appetite.
* Prepare commodity risk analysis, including exposure mapping, sensitivity modelling and scenario analysis.
* Monitor hedge effectiveness for commodity and financial derivatives, preparing clear reporting for senior stakeholders.
* Manage Regional‑level funding activities, such as bank loans, revolving credit facilities, guarantees and trade finance instruments etc.
* Support capital structure planning and funding strategy development.
* Maintain strong banking relationships, supporting negotiations on pricing, facilities and credit terms.
* Oversee treasury‑related front‑, middle‑ and back‑office controls (excluding cash management).
More about the Role
* Bachelor’s degree in Business Administration, Finance, Economics or related field
* Minimum 10 years of experience in corporate finance and structured financing instruments
* Having British citizenship or approved work permit in UK
* Ability to work and comfortable in a multi-cultural (cross border) matrix environment; experience in an international organization will be beneficial
* Ability to communicate with 3rd party financial experts and regulatory bodies
* Proficiency in MS Office (Especially MS Excel skills) and SAP applications
* Applies analytical thinking and attention to detail to identify and implement sustainable solutions to problems
* Fluent in English, both written and verbal
* Role is Hybrid - 80% on-site;