Manager Front Office Group Treasury
6 hours ago
Title: Manager Front Office Group Treasury Location: Novena Square, SG, SG Global Business Unit: OTH Job Function: Finance Requisition Number: Job Summary 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. General Responsibilities Cash & Debt Management Monitor and manage daily cash positions of markets under coverage to ensure optimal liquidity and efficient utilization of cash resources. Collaborate with Country Finance to analyse cash flow forecasts, drive automation in forecast aggregation and variance reporting. Perform variance analyses and produce insights / recommendations for business stakeholders. Evaluate working capital and capital structures to support dividend repatriation and cash concentration strategies and determine financing need, balancing liquidity needs with tax efficiency. Consolidate and report on Treasury Centre liquidity position and support Senior Manager in long term liquidity planning. Support tactical cash flow exercise. FX Risk Management Execute FX or derivative transactions within approved limits and with approved counterparties consistent with policy. Track exposures across markets and evaluate hedge effectiveness with country finance / BPO. Implement risk management strategies to protect Group's financial interest. Report on counterparty performance as part of
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Manager Front Office Group Treasury
6 days ago
Singapore DKSH Full timeApply for the Manager Front Office Group Treasury role at DKSH Job Summary 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...
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Manager Front Office Group Treasury
6 hours ago
Singapore DKSH Scientific Solutions Full timeTitle: Manager Front Office Group Treasury Location: Novena Square, SG Global Business Unit: OTH Job Function: Finance Requisition Number: Job Summary 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...
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Strategic Front Office Treasury Manager
6 hours ago
Singapore DKSH Group Full timeA leading finance organization in Singapore is seeking a Manager Front Office Group Treasury. This role involves managing core treasury functions, including cash and debt management and FX risk mitigation. You will work on liquidity planning and support initiatives like dividend repatriation. The ideal candidate has solid experience managing FX transactions...
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Treasury Front Office Intern
3 days ago
Clearstream Banking S.A. Singapore Branch Deutsche Börse Group Full time $50,000 - $80,000 per yearGroup Company: Clearstream Banking S.A. Singapore Branch Treasury Front Office InternStart: | Duration: 6 months | Full-time Ready to make a real impact in the financial industry? At Deutsche Börse Group, we'll empower you to grow your career in a supportive and inclusive environment. With our unique business model, driven by 15,000 colleagues...
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Manager Front Office Group Treasury
6 days ago
Singapore DKSH Holding Ltd Full timeJob Summary Location: Novena Square, SG | Global Business Unit: OTH | Job Function: Finance 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,...
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Treasury Front Office Intern
2 weeks ago
Singapore Deutsche Börse Full timeSingapore **Your career at Deutsche Börse Group**: **Division/section** Clearstream Banking, Treasury Front Office **Fields of Activity** In Treasury Front Office we are responsible for the Cash Management and Investments of the Bank. We operate in line with the Group Investment and Liquidity management policies. We document our processes, regularly...
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Manager Front Office Group Treasury
3 days ago
Singapore - Novena Square DKSH Spain Full time $80,000 - $150,000 per yearJob Summary 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...
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Assistant Manager, Group Treasury
4 days ago
Singapore Singapore Post Ltd Full timeJob Description **Responsibilities**: - Provide operational support for all activities within the Group Treasury function. This includes front, middle, and back-office activities across liquidity, liability and risk management. - Review and negotiate documentation for banking facilities and maintain adequate banking facilities to meet funding and...
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Analyst, Treasury Front Office
2 weeks ago
Singapore Deutsche Börse Full timeSingapore **Your career at Deutsche Börse Group**: **Field of activity** Treasury is responsible for cash and liquidity management, funding and money markets and capital markets transactions of Deutsche Börse Group as well as for the management of market price risks, with a specific focus on the financial market infrastructures Eurex Clearing and...
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Senior Front Office Treasury Manager: Liquidity
6 hours ago
Singapore DKSH Scientific Solutions Full timeA leading financial services firm in Singapore is seeking a Manager for the Front Office Group Treasury. This role involves managing core treasury functions including cash and debt management, FX risk mitigation, and liquidity planning. Candidates should have over 10 years of experience in a finance role, with strong skills in stakeholder engagement and...