Manager Front Office Group Treasury

DKSH Group

Singapore

On-site

SGD 180,000 - 240,000

Full time

14 days+
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Job summary

DKSH is seeking a Manager Front Office, Group Treasury to lead liquidity management and FX risk mitigation across markets from Singapore. The role drives treasury optimization, governance, and capability building within the Group.

You will partner with stakeholders to deploy TMS solutions, automate forecasting, and implement robust cash deployment strategies, while coordinating with internal teams and external banking partners to ensure compliance and best practices.

Qualifications

  • Degree or professional qualification in Accounting, Finance, or a related discipline.
  • 10–15 years of relevant treasury or corporate finance experience.
  • Experience with banks and auditors; system/project experience preferred.
  • Ability to self-learn tools like Excel automation, Power Query, and TMS modules.

Responsibilities

  • Monitor daily cash positions across markets to optimize liquidity.
  • Partner with Country Finance to forecast cash flow and automate reporting.
  • Evaluate working capital and capital structures to support liquidity planning.
  • Execute FX and derivative transactions within policy and with approved counterparties.
  • Track FX exposures, hedge effectiveness, and perform MTM reviews/ stress testing.
  • Lead treasury transformation, including TMS implementation and data migration.
  • Support M&A integration and promote Power Query, Power BI, and TMS usage.
  • Engage with Finance, Tax, Internal Audit, Legal and external partners for compliance.
  • Deliver training and guidance to market teams; handle admin tasks as needed.

Skills

Cash forecasting
Liquidity management
FX transactions
Excel automation
Financial analysis
Stakeholder management
Data interpretation

Education

Degree in Accounting/Finance

Tools

Power Query
Treasury Management System (TMS)
Power BI
Excel

Job description

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Title: Manager Front Office Group Treasury

Location: Novena Square, SG, SG

Global Business Unit: OTH

Job Function: Finance

Requisition Number: 244076

Description:

About The Role

The Manager, Front Office, Group Treasury is a Singapore-based role that sits at the heart of DKSH's global financial operations, driving strategic liquidity management, foreign exchange (FX) risk mitigation, and treasury transformation across multiple markets. This role directly strengthens DKSH's financial resilience by optimizing cash deployment, executing hedging strategies, and partnering with key stakeholders to elevate governance and treasury capability across the Group.

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

At DKSH, we help companies grow in Asia and enable people to perform at their best. You will be part of an organization that values accountability, collaboration, and long‑term partnerships. We offer a dynamic environment where your contributions are visible and where you can build a meaningful career in Finance and Treasury. #LI-JL1

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