Senior Treasury Specialist for Group Treasury Front Office
DSV · Hedehusene, Denmark
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Job Req Number: 125694
Time Type: Full Time
Join the world's largest logistics company at a transformational moment. As part of Group Treasury, you will help optimize and streamline our global cash and liquidity management setup as well as help driving the continued evolution of our treasury organisation.
“We are almost done integrating DB Schenker and we are now entering a new phase with focus on scaling and streamlining our global treasury operations. Hence, we are looking for someone who wants to leave a lasting mark on our cash and liquidity management setup. If you are motivated by complexity, ownership and the opportunity to create impact on a global scale, this could be the right role for you”, says Thomas Lindqvist Nielsen, Director, Group Treasury.
Become part of our talented Group Treasury team
You will join our Group Treasury Front Office team at our headquarters in Hedehusene. Here, you will work alongside treasury colleagues covering liquidity management, global cash management infrastructure, FX risk management, guarantees, funding and capital structure.
The role includes overseeing DSV's global cash and treasury operations, driving efficiency, reducing financial risk, and optimizing liquidity across the Group. Further, role includes responsibilities with our funding execution and capital structure. As the world's largest logistics company, we operate in a highly dynamic environment with a strong focus on growth, transformation, and continuous improvement. This creates unique opportunities to work on large-scale treasury initiatives, complex integration projects, and the ongoing development of our global treasury setup.
“It is part of our strategy to pursue organic growth complemented by acquisitions to further strengthen our market position. You’ll therefore be part of a company in constant change giving you room to grow,” Thomas elaborates.
Shaping DSV’s future liquidity, funding and treasury infrastructure
As our new Senior Treasury Specialist, you will take a central role in managing and optimising DSV’s global liquidity, funding and banking infrastructure. Working with Regional Treasurers, local finance teams and banking partners around the world, you will lead and support initiatives that strengthen our cash management setup and advance our funding and capital structure priorities.
You will be trusted with significant responsibility, gain exposure to senior stakeholders across the organisation and contribute directly to high-impact treasury initiatives on a global scale.
Your responsibilities include, but are not limited to:
- Drive initiatives to optimise the Group's global liquidity and cash management structure
- Manage and enhance DSV's global cash pooling, bank account and banking infrastructure setup
- Support the execution of the Group's funding strategy and capital structure objectives
- Monitor and analyse liquidity positions, cash flow developments and funding requirements across the organisation
- Develop and maintain liquidity forecasts and treasury reporting for senior management
- Partner with banking relationship managers to secure best-in-class cash management and funding solutions
- Identify opportunities to improve efficiency, reduce financial costs and strengthen cash visibility across the Group
- Support the continued development and utilisation of SAP Treasury within cash management, liquidity and funding activities
Treasury expert with a collaborative and analytical mindset
- You have several years of relevant experience within cash management, liquidity, funding or corporate treasury, gained from an international company or financial institution
- You hold a relevant degree in finance, economics, business, accounting or a related field
- You combine strong analytical capabilities with a structured and commercially minded approach
- You are comfortable taking ownership, driving initiatives and collaborating with stakeholders across functions and geographies
- Experience with SAP Treasury, SAP S/4HANA is an advantage
- Project management and experience working with IT when implementing Treasury solutions
- You are fluent in written and spoken English; Danish is not required
Want to know more and apply?
We will be happy to answer any questions you may have regarding the position and about your options in DSV. You are welcome to call Thomas Lindqvist Nielsen, Director, Group Treasury on + 45 6057 0712.
We look forward to receiving your application via the link below as soon as possible. We will process the applications as we receive them
DSV – Global transport and logistics
Working at DSV means playing in a different league.
As a global leader in transport and logistics, we have been on an extraordinary journey of growth. Let’s grow together as we continue to innovate, digitalise and build on our achievements.
With close to 150,000 colleagues in over 90 countries, we work every day to offer solid services and meet our customers’ needs and help them achieve their goals. We know that the best way to achieve this is by bringing in new talent, fresh perspectives and ambitious individuals like you.
At DSV, performance is in our DNA. We don’t just work – we aim to shape the future of logistics. This ambition fuels a dynamic environment built on collaboration with world-class team players, accountability and action. We value inclusivity, embrace different cultures and respect the dignity and rights of every individual. If you want to make an impact, be trusted by customers and grow your career in a forward-thinking company – this is the place to be.
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Visit dsv.com