We are working with a leading aircraft leasing platform seeking a Senior Manager to join its Corporate Treasury team in Dublin.
Key Responsibilities
Monitor global liquidity position, cash forecasting, and funding flows
Oversee funding transactions post-closing, including covenant compliance and performance tracking
Track interest rate and FX exposures and support hedging activity
Deliver high-quality reporting across liquidity, funding, and risk metrics
Maintain strong treasury controls, governance, and process improvement
Work closely with front office, finance, and external stakeholders
Candidate Profile
7+ years’ experience in treasury, banking, or structured finance
Strong understanding of liquidity, debt structures, and financial risk
Highly analytical with strong Excel and reporting capability
Experience with treasury systems and controls in a global environment
Detail-oriented with a commercial mindset
This is an excellent opportunity for a strong treasury professional to join a high-performing treasury team within a global, capital-intensive platform
To discuss in confidence, contact Diarmuid Clancy via dclancy@elevatepartners.ie or apply directly via the link provided.
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