Leading Irish organisation with a national remit require a Treasury Manager with strong commercial acumen to join their Head Office team and manage this key areaReporting to the Finance Director, as a key member of the senior management team leading a small team, you will be involved with areas such as capital planning, financing strategies, liquidity, and financial risk management.
You will also work closely with business leaders, relating to the funding of various projects.
Key Tasks will include:Manage day-to-day cash flow, to include detailed cash-flow forecasting modelsManage working capital, liaison with banksOversee companies' capital structure, lead the financial structuring and funding of projects Manage project finance arrangementsDevelop and implement strategies to mitigate financial risks Prepare periodic reports for regulators, auditors and other key stakeholdersIdeally, you will be an experienced Treasury Manager, or Qualified Accountant with a background in Treasury, Capital Planning or Corporate finance who possesses excellent analytical and strong financial modelling skills.
Strong strategic finance, treasury, and capital planning experience is desirable, project funding experience would be an assetSalary €90K to €110K, depending on experienceBenefits include 26 days annual leave, bonus, hybrid working, a pleasant working environmentIf you would like to be considered for this position, please forward your CV to Lorraine Darcy to review, who will then contact you to discuss the role further#LI-DNI #1121321 - Lorraine Darcy