Senior Treasury Analyst, Front Office

Dyson Operations Pte Ltd

Singapore

On-site

SGD 90,000 - 130,000

Full time

4 days ago
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Job summary

Dyson Operations Pte Ltd is seeking a Senior Treasury Analyst, Front Office, in Singapore. You will support global treasury activities focusing on liquidity management, FX risk handling, and treasury governance.

You will manage cash, funding and intercompany actions, collaborate with Finance functions, and contribute to process improvements and control enhancements across the Dyson Treasury. This role reports to the Front Office Treasury Manager.

Qualifications

  • Undergraduate degree in Finance, Accounting or Banking.
  • 3–5 years’ experience in cash and liquidity management, FX execution in a multinational.
  • Strong numerical, modelling and analytical abilities.
  • Proficiency with treasury systems and trading platforms (e.g., SAP, 360T, Bloomberg).
  • Advanced Excel and PowerPoint skills; hedge accounting knowledge is helpful.

Responsibilities

  • Deliver high standards in cash and bank account management and funding.
  • Support FX risk management and hedging within Dyson policy.
  • Prepare monthly hedging proposals and manage onboarding of banks on 360T.
  • Produce and report FX and liquidity metrics and dashboards.
  • Document treasury processes for compliance and improvement.

Skills

Treasury management
FX execution
Cash management
Analytical skills
Financial modelling

Education

Finance/Accounting/Banking degree

Tools

SAP
360T
Bloomberg
Refinitiv
ICD
Excel
PowerPoint

Job description

We are seeking a Senior Treasury Analyst, Front Office to join our Global Treasury team based in Singapore.

About the role

Reporting to the Front Office Treasury Manager, you will support Dyson's global treasury activities, with a focus on liquidity management, foreign exchange risk management, treasury operations and governance.

You will be part of the team that manages the Group's funding, cash concentration structures and FX activities, while driving continuous improvement across Treasury processes and controls.

Responsibilities

Ensure delivery of high standards in cash and bank account management, internal and external funding, foreign exchange risk management, control and compliance in accordance with Dyson Treasury policy.

Part of the Front Office Treasury team, working in close collaboration with the wider Finance functions, to ensure that day-to-day deliverables are met timely with a high standard of excellence.

Foreign Exchange Risk Management
  • Ensure timely and accurate execution of FX transactions, including daily liquidity positioning and monthly hedging activity, within Dyson approved policy.
  • Prepare monthly hedging proposals in accordance with Dyson approved policy.
  • Manage and onboard banks on 360T platform.
  • Work with Treasury operations and external parties to ensure FX transactions are settled in a timely and accurate manner.
Liquidity Management
  • Propose short-term borrowing, investment and transfers to maintain appropriate liquidity for business units.
  • Ensure timely and accurate execution of approved borrowing and investment transactions.
  • Manage and optimize funding within the Dyson multi-currency notional pool structures.
  • Work with Treasury operations and external parties to ensure cash management transactions are settled in a timely and accurate manner.
Reporting and compliance
  • Ensure accurate input for all executed FX risk and liquidity management transactions in treasury management system.
  • Manage intercompany loan position reporting and compliance with intercompany agreements.
  • Prepare FX and liquidity management related reports and analysis.
  • Preparation and publication of daily Treasury dashboard and weekly Treasury Markets Update.
Framework and controls
  • Ensure documentation of Treasury processes are prepared/updated for management review as part of compliance and process improvement.
  • Provide input to support initiatives to drive incremental positive changes in Dyson’s Treasury Operations.

Assist in regular and ad hoc matters as required.

Experience/technical skills
  • Minimum undergraduate degree, with major in Finance, Accounting or Banking.
  • Minimum 3-5 years’ relevant experience in cash and liquidity management, FX execution in a multi-national company.
  • Strong numerical, financial modelling and analytical skills.
  • Experience with TMS (SAP preferred), trading platforms (360T preferred), research platforms (Bloomberg/Refinitiv) and investment platforms (ICD preferred).
  • Proficiency in Microsoft Office suite (intermediate to advanced level in Excel and PowerPoint).
  • Having knowledge of hedge accounting would be advantageous.
Personal attributes
  • An energetic team player with a positive attitude and strong work ethic.
  • Independent drive to ensure delivery of results of a high standard consistently.
  • Proactive approach and willingness to take ownership to resolving issues.
  • Strong attention to detail, with a controls-focused and risk-awareness mindset.
  • Good written and verbal communication skills.
Working at Dyson

We're committed to our campus culture and do not offer a hybrid working model. Being together in person enables the collaboration, creativity and inventiveness that define Dyson, while providing access to inspiring, social and dynamic workspaces where our people can do their best work.

#LI-CY1

Dyson is an equal opportunity employer. We know that great minds don’t think alike, and it takes all kinds of minds to make our technology so unique. We welcome applications from all backgrounds and employment decisions are made without regard to race, colour, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, protected veteran status or other any other dimension of diversity.

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