Job Title: Head of Treasury
Sector: Private Equity Backed Corporate
Location: Dublin
Salary: €150,000 – €200,000 plus Bonus, Pension & Health
Our Client
Our client is a fast-growing, private equity backed corporate headquartered in Dublin. The company recently completed a major international acquisition and is now entering a new phase of strategic growth, creating this newly established Head of Treasury role.
Why should you apply?
This is a rare opportunity to join a dynamic and ambitious organisation at a pivotal point in its expansion journey. The role will sit at the heart of a high-performing finance function, working closely with a highly regarded and commercially minded Group CFO. This position offers the chance to build out a best-in-class treasury function, influence key strategic decisions, and work closely with senior stakeholders including the Head of Tax and international finance teams.
Who should apply?
This role is ideal for senior treasury professionals with a background in large corporates or financial services looking to take the next step in a leadership position:
* 10+ years’ experience in a senior treasury role
* Strong exposure to international treasury operations and financing structures
* Experience in a corporate or private equity-backed environment
* Demonstrated leadership skills with a strategic mindset
* Comfortable in a fast-paced and evolving environment
Role and Reporting Lines
This newly created role reports directly to the Group CFO and works in close partnership with the Head of Tax and other senior leadership. Responsibilities will include:
* Cash Management – Oversee global cash flow forecasting and liquidity management
* Banking Relationships – Manage relationships with key banking partners and financial institutions
* Financing Strategy – Develop and implement group-wide funding strategies to support growth
* Treasury Operations – Establish and scale treasury policies, controls, and systems
* Risk Management – Monitor and manage FX, interest rate, and other financial risks
* Stakeholder Reporting – Provide insightful reporting to the CFO, board, and investors
* Integration Projects – Support treasury integration for newly acquired international entities
* Business Partnering – Collaborate with the Head of Tax and wider finance team to align treasury strategies
Interested in this position?
To apply please submit your CV to Niall O’Kelly who is managing this assignment via the link below or to inquire further please contact Niall on 01 529 4200.
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