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Implement the Group Treasury policy and practices to ensure effective governance over all treasury/cash management matters
Ensure timely and accurate forecasting of cash inflows and outflows reporting to Group Treasury. Track forecast deviations and recommend continuous forecasting improvements
Declare and report country foreign exchange exposures to Group Treasury in a timely manner. Actively manage changes in amounts/timing of hedges based on changes of underlying purchase orders. Confirm and settle all foreign exchange deals in a timely manner
Manage and coordinate all local bank relationships, including the establishment of local bank facilities and documentations based on Group Treasury instructions. Monitor bank service provision/pricing and local facility covenants
Ensure timely and accurate recording of treasury transactions, highlight any unusual items and resolve discrepancies. Prepare treasury reports for Group reporting
Manage the country's special projects/initiatives to improve treasury/cash management processes, activities, reporting, etc., with focus on treasury
Manage and oversee team’s delivery of team/function goals to drive execution against goals set
Drive and manage learning and development of team in the area of Treasury and DKSH behavior to achieve team/function goals
Drive self-learning and improvement in the area of Treasury and DKSH behavior as part of continuous learning
Requirements
Degree or professional qualification in Accounting/Finance or a related discipline
Minimum five years’ experience in a similar role, preferably in a corporate treasury environment
Minimum two to three years’ experience in a managerial capacity
Experienced with SAP and payment gateways
Demonstrate sound knowledge and understanding of the business and industry
Demonstrate sound knowledge and application of treasury/cash management principles and best practices
Demonstrate sound knowledge and application of local/international accounting standards, principles and practices
Demonstrate strong research and analytical skills
Demonstrate fluency in English (both written and spoken)
Strong communication skills
Agile and resilience
Requisition Number: 180648
Job Function: Finance
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