Group Director Treasury (Global Freight Forwarding)
This role will lead the design implementation and management of the cash management structures for the global freight forwarding business in close cooperation with the freight forwarding leadership in the Global Logistics team and regional Freight Forwarding teams.
DP World intends to build a global top 10 air and ocean freight forwarder within the coming 36 months through a combination of organic growth and M&A.
DP Worlds target operating model is intended to be highly efficient utilising in house technology to deliver high quality consistent service and low transaction costs.
The business will operate from a proprietary TMS leveraging an inhouse global shared service centre with regionally led business units (100 branches across the world) driving highvalue add sales and customer service activity.
The business is expected to handle more than a million TEU and generate >$2bn revenue globally. This role will be responsible for developing and implementing a treasury strategy with the aim to efficiently fund the working capital requirements of the freight forwarding business and manage cross border funds flow. This strategy will need to ensure that cash is available to meet the working capital requirements of a rapidly growing business operating in multiple geographies while ensuring over capitalisation does not result in a drag on ROCE.
The strategy will also need to consider the management of foreign exchange risk and efficient sources of financing. Furthermore the role is expected to provide support to the new regional and country level freight forwarding business units in various geographies through training policies and procedures and best practice treasury governance.
The cash management/ pooling is expected to key to efficient operation of the freight forwarding business as it allows efficient management of cash across a wide range of branches.
The Director Treasury is critical to DP Worlds Freight Forwarding business always being able to meet its payment obligations while maintaining an efficient level of capital deployment. The position holder is managing the cash pooling systems and implements and approves the reporting and governance around those systems. He / She closely cooperates with various stakeholders (Global Logistics team / Group Treasury / Regional Freight Forwarding leadership / Banks / Leasing companies / Tax / Legal / Operations).
Internal: You will navigate through a large variety of stakeholders (BUs Head Office functions Regional Office functions) and you are a trusted partner of these and maintain effective relationships
External: You will communicate with banks and leasing companies and you understand their needs and their language.
Responsibilities:
Other:
Minimum Education/Experience Requirements:
Qualifications
Experience
Definite asset:
Skills:
Strong communication skills You are able to understand and address stakeholders needs and you can communicate change requirements
Problem solving You enjoy solving problems. Getting to the root cause. You love taking on difficult challenges and finding creative innovative solutions. You dont get flustered easily
Detail oriented You pay strong attention to the details as far as required you do not loose the view to the problem to be solved and you understand where 80/20 approaches are suitable and where not. You have a solid understanding of compliance requirements to protect companys assets
Strong collaborator You can work independently because you selfmanage with limited direction and guidance but you also enjoy collaborating across dynamic and multicultural teams and are personable helpful and incredibly organised
Results oriented You are proactive in handling competing priorities and meet your deadlines and commitments; you always demonstrate a can do positive attitude
Confidentiality You consider and protect the confidentiality of company data at ALL times
IT skills You have a clear interest in systems and you are able to define tasks to the IT team that are actionable and understandable. You have a profound knowledge of the Microsoft Office Suite
Flexibility to travel You are ready to travel between 1020% of the time across Europe to our operations to perform tasks on site
Have at least 7 to 10 years experience in the management of a treasury function in logistics /freight forwarding business.Have solid experience in Implementation of cash pool structure.Hold a masters degree in finance.
Languages You speak and write fluent English additional languages are a bonus but not a must in particular German Dutch.
Location
Dubai United Arab Emirates
Remote Work :
No