My client is a global asset finance group that manages all its global treasury from Dublin. They have a highly experienced treasury team split between accounting, operations, dealing, risk, hedging, and compliance. They are looking to add a bright and motivated graduate to join their specialist treasury team.
In this role, you will get massive exposure to all aspects of international treasury cash management. Employees here enjoy an outstanding work-life balance in a collaborative environment.
In this role, you will get exposure to all aspects of treasury, including
* Cash Management
* Relationship Management
* Month End/MIS Reporting
* FX derivatives
Candidate Profile
* The ideal candidate will be a business/finance graduate (or similar) with some experience in FS operations, treasury, middle office, securities, funds, or SWIFT payments.
* Have an interest in financial products within treasury.
* Ideally, some exposure and experience in the Financial Services / Banking / Treasury area.
* Energetic, motivated, and enthusiastic.
The package includes a bonus, 15% pension, health and dental insurance, educational assistance, and €1,500 flexible benefit. There will also be excellent development opportunities for growth within the company. Everyone within the organisation can work 3 days per week from home if they wish. Their office enjoys beautiful views of the river Liffey. People who work here enjoy an outstanding work-life balance in a collaborative work environment.
If you are interested in this role, please send us your CV and we will contact you as soon as possible to go through the role and company in detail.
#J-18808-Ljbffr