JSS are recruiting a Treasury Analyst to join an exciting business, based in Dublin. This is a broad role with exposure across all areas of treasury and joining a business focussed on personal development.
Responsibilities
* Cashflow forecasting and liquidity management
* Management of treasury operations
* Analysis and execution of FX trades
* Bank relationship management
* Internal and external compliance, including KYC
* Month end treasury reporting
Requirements
* Experience in treasury, finance or accounting
* Part-qualified (ACT, ACCA, CIMA)
* Good excel skills