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A leading global business in finance in Singapore is seeking a Manager Front Office Group Treasury to oversee core treasury functions, manage cash and debt operations, and implement risk management strategies. The role requires strong stakeholder engagement and experience with TMS implementations and liquidity planning. Ideal candidates will have a finance degree and a minimum of 10-15 years of relevant experience, including hands-on exposure to FX transactions and liquidity management. Competitive salary offered.
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Location: Novena Square, SG, SG
Global Business Unit: OTH
Job Function: Finance
Requisition Number: 219016
Description:
This Singapore-based role in Group Treasury Front Office is responsible for managing core treasury functions across multiple markets, including cash and debt management, FX risk mitigation, and strategic liquidity planning. You will oversee daily liquidity monitoring, support cash flow forecasting and variance analysis, and contribute to initiatives such as dividend repatriation and long-term funding strategies.
You will execute FX and derivative transactions, assess hedge effectiveness, and implement risk management strategies to safeguard the Group’s financial interests. The role also involves driving Treasury Management System (TMS) implementations, process automation, and supporting M&A integrations. Strong stakeholder engagement is key, as you will collaborate with internal teams and external banking partners to ensure compliance, governance, and capability building across markets.
The ideal candidate will have experience executing FX and derivative transactions, evaluating hedge effectiveness, and implementing risk mitigation strategies. They will also lead process improvements and support Treasury Management System (TMS) implementations and M&A integrations. Strong stakeholder engagement is essential, as the role involves partnering with internal teams and external banks to ensure compliance, governance, and capability building across markets.
Cash & Debt Management
FX Risk Management
Treasury System and Process Improvements
Business Partnering, Governance & Controls
Leadership Responsibilities
Degree or professional qualification in Accounting/Finance or a related discipline.
* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.