Dublin, is currently seeking a Senior Treasury Analyst to join their
team. Company is based in South City Centre, close to LUAS and they
operate a hydbrid WFH policy with 3 days WFH. The Job: Cash and
liquidity management, Daily oversight of bank accounts, cash-pools and
treasury systems Processing various treasury payments and transfers
across a suite of banking systems. Execution of cash and FX
transactions Forecast preparation and monitoring Ad hoc treasury
projects The Candidate: Minimum 4 years experience within Treasury or
Finance. Fluent French language skills are essential Previous
corporate treasury experience preferred Degree in business, finance or
economics desirable Strong TMS experience desirable (ideally Kyriba)
Strong IT skills. If you are interested in this position, please send
a CV in confidence to Alan Bluett at the enclosed address. Skills:
Treasury analyst cash management TMS Kyriba FX Treasury Pr
We need : English (Good)
We need : French (Fluent)
Type: Permanent
Payment: Contact us
Category: Languages