A global insurance provider is looking for a Cash Management - Treasury Senior Analyst in Dublin.
This role involves managing cash positioning, forecasting, and maintaining relationships with banking partners.
Candidates should have experience in corporate treasury, along with a degree in Finance or a related field.
Required skills include strong analytical abilities, proficiency in cash management systems, and effective communication.
This position offers a competitive salary, benefits, and opportunities for professional development.
#J-*****-Ljbffr