Title: Manager Front Office Group Treasury
Novena Square, SG, SG
About The Role
What You Will Deliver
- Monitor and manage daily cash positions across markets to ensure optimal liquidity and efficient utilization of cash resources
- Partner with Country Finance to analyze cash flow forecasts, lead automation of forecast aggregation and variance reporting, and translate data into actionable recommendations for business stakeholders
- Evaluate working capital and capital structures to support dividend repatriation, cash concentration strategies, and long-term liquidity planning
- Execute foreign exchange (FX) and derivative transactions within approved limits and with approved counterparties, in full alignment with Group policy
- Track FX exposures across markets, evaluate hedge effectiveness, and develop standardized frameworks for mark-to-market (MTM) reviews and scenario stress testingImplement risk management strategies to safeguard the Group's financial interests and report on counterparty performance as part of bank relationship management
- Lead treasury transformation by driving process improvement and automation initiatives, including Treasury Management System (TMS) implementation, requirements gathering, data migration, testing, and rollout
- Support mergers and acquisitions (M&A) integration for markets under coverage and champion the adoption of tools such as Power Query, Power BI, and TMS modules across the team
- Engage with internal stakeholders including Finance, Accounting, Tax, Internal Audit, and Legal, as well as external banking partners and service providers, to ensure compliance with internal policies and regulatory requirements
- Deliver regular training and guidance to market teams to strengthen treasury capabilities and accelerate local empowermentAdministrative duties and coordination tasks as required
What You Bring
- Degree or professional qualification in Accounting, Finance, or a related discipline
- Minimum 10 to 15 years of relevant experience in treasury or corporate financeHands-on exposure to cash forecasting, liquidity management, or foreign exchange (FX) transactions
- Experience working with banks and auditorsInvolvement in system projects or process improvement initiatives is preferred
- Demonstrated ability to self-learn new tools or processes such as Excel automation, Power Query, and Treasury Management System (TMS) modules, and apply them to improve work efficiency
- Sound knowledge and application of treasury and cash management principles and best practices
- Sound knowledge and application of local and international accounting standards, principles, and practicesStrong research and analytical skills with the ability to present financial insights to non-treasury audiences
- Fluency in English, both written and spoken
- Curious and proactive mindset, with a drive to question, learn, and continuously improveCollaborative approach, comfortable working across peers, senior stakeholders, and external partnersAdaptable and resilient, with the ability to manage detail and shifting priorities in a dynamic environment
Why Join DKSH