A leading Alternative Investment Management firm is seeking a Treasury Operations professional to join its Dublin team. This is a key hire supporting treasury, banking, and trading line management functions across a dynamic global platform.
Key Responsibilities:
1. Take ownership of a new Treasury platform, driving enhancements and vendor management
2. Manage external bank and custody accounts, entity onboarding, and liquidity oversight
3. Analyse bank interest rates, service charges, and optimize yield across accounts
4. Support internal setups for derivative, repo, and FX trading lines
5. Collaborate cross-functionally with compliance, tax, legal, and middle office teams
Requirements:
1. 5–10 years' experience in Treasury Operations, ideally on the buy side
2. Strong Excel skills; familiarity with treasury platforms and SWIFT a plus
3. Detail-oriented, organized, and process-improvement focused
4. Solid knowledge of fixed income markets is beneficial