Cash Management Analyst - Dublin
Atrium EMEA is looking for an accomplished Cash Management Analyst to support a Treasury team onsite in Dublin. This will be a combination of daily Cash management along with more strategic cash initiatives. Onsite 2 days a week. PAYE option.
Essential:
* Execute funding transfers, time deposits, and FX transfers as required
* Accurate daily Cash positioning
* Resolving Ad-hoc requests from the business, audit requests, and corporate partner requests
* Good attention to detail
* Ongoing Improvement of Cash Forecasting model
* On-going investigation of investment opportunities and risk mitigation
* Treasury and liquidity knowledge helpful
Click Apply now/contact Lianne to be considered for the
Cash Management Analyst – Dublin role