Job Title:
Finance Analyst – Treasury Operations
Location:
Cork, Ireland
Duration:
6+ Months (with potential for extension)
Mode:
Hybrid
This role is ideal for candidates seeking to grow their career in corporate finance and treasury offering hands-on learning and career development opportunities.
Job Summary
We are seeking a motivated and detail-oriented Finance Analyst to join a Treasury & Risk team. This is an excellent opportunity for candidates from a finance, accounting, or related background who are looking to build a career in treasury.
Open to individuals who may not have prior treasury experience but demonstrate strong analytical skills, accuracy, and a willingness to learn.
You will play a key role in supporting day-to-day financial operations, assisting with cash flow processes, reconciliations, and process improvements within a dynamic international environment.
Key Responsibilities
* Support daily financial operations, including monitoring cash balances and transactions.
* Assist in reconciling bank accounts and preparing financial reports.
* Help execute payments, wire transfers, and intercompany transactions.
* Work with internal teams to ensure accurate financial data and reporting.
* Support forecasting and liquidity analysis activities.
* Contribute to process improvement and automation initiatives to enhance efficiency.
* Assist in maintaining relationships with internal finance teams and banking partners.
* Ensure adherence to internal policies and financial controls.
* Participate in ongoing treasury and finance projects, gaining exposure to international operations.
Requirements
* Degree in Finance, Accounting, Economics, or a related field.
* 1–4 years of experience
in finance, accounting, or a similar analytical role (internships included).
* Strong proficiency in
Microsoft Excel
; experience with Power BI or similar tools is an advantage.
* High attention to detail, strong numerical skills, and analytical mindset.
* Excellent communication and teamwork skills.
* A proactive attitude with a
willingness to learn and grow into a treasury-focused career
.
Preferred Skills (Nice to Have)
* Exposure to financial systems or ERP tools (e.g., Oracle, SAP, or similar).
* Understanding of basic accounting principles or financial reporting.
* Experience in payment processing or reconciliations is a plus.