Select how often (in days) to receive an alert:Select how often (in days) to receive an alert:Tirlán, is a world-class food and nutrition co-operative, with a diverse portfolio of quality ingredients, leading consumer and agri brands.We nurture a talented team across Ireland, the US, MEA and China, delivering annual revenues of circa €3 billion, and over 2,100 people to manage our network of 11 processing plants and 52 agri branches. Our purpose is to nourish the world, while safeguarding our environment for future generations.Role ProfileReporting to the Chief Financial & Secretariat Officer, this Senior Leadership role is responsible for the strategic oversight and operational excellence of Group Cash Management, Treasury Operations, Tax & Central Procurement.ResponsibilitiesTreasury OperationsOwner of Group Treasury policy, ensuring best practice levels of governance, compliance & controls, to include the effective management of currency and interest rate risk as part of the Group profit assurance frameworkProvide for effective funding management, ensuring optimal debt drawdown from available facilities in balance with the Group’s ongoing liquidity needsEnsure optimum business banking service levels & solutions in response to both existing and emerging Group requirementsWork with the Treasury Operations Team to deliver ongoing process efficiency initiatives and Treasury platform evolutionCash ManagementResponsible for Group liquidity, to include the delivery of peak, average and year-end cash performance targets, in addition to lender covenant complianceOversight of the Group cash forecasting platform, with delivery of predictive analysis to determine short and medium-term probable outcomes versus targetEnsure performance driven actions are taken in collaboration with commercial stakeholder groups in order to proactively deliver on cash generation imperativesStrategic FinancingResponsible for the delivery of optimum capitalisation structures for the Group, across senior debt, value chain finance and potentially bond-related instrumentsManage corporate banking relationships both individually and across lending syndicate structures, whilst ensuring optimum pricing / cost outcomesAct as a key advisor to the Chief Financial & Secretariat Officer and Executive Leadership Team with regard to funding structures in support of the strategic growth ambitions of the Co-OpOwner of investment reporting & performance tracking with a view to ensuring full clarity at both Executive and Board levelsProcurementOversee the effective provision of services by working with the Head of Procurement to ensure:Effective leverage of Group purchasing scale & synergy opportunitiesHigh performing pricing positions across central purchasing categoriesStrong pricing risk management, particularly in commoditised cost areasRobust procurement policy, compliance & controls, to include optimum operational efficiency of SAP procurement mechanismsCollaborative value-add delivery in conjunction with material spend ownersTaxOversee the effective provision of services by working with the Head of Tax to ensure:Robust compliance frameworks, together with strong risk managementFulfilment of statutory returns across direct and indirect tax categoriesOngoing review of tax structure efficiency for the Group, to include the support of the strategic growth ambitions of Co-OpOngoing review of the tax legislation landscape, with a proactive view of emerging changes with potential to impact the GroupEffective management of Revenue relationships and strong oversight of Revenue audit activityLead a high-performing team by fostering a collaborative and inclusive culture that encourages innovation, accountability, and continuous improvementMotivate and engage team members by setting clear expectations, providing regular feedback, and supporting professional development to ensure individuals reach their full potentialRequirementsDegree qualified, with relevant membership of a recognised Accounting or Treasury related body10+ years post qualification experience within a large, dynamic Corporate environmentStrategic mindset, with a willingness to consider the future-state within decision-making frameworksStrong commercial acumen, with experience of value-add deliveryExposure to banking structures and the capitalisation of large CorporatesRobust exposure to control, compliance and policy environmentsProven track-record of cash management target delivery is desirableStrong people management and development skillsStrong leadership & collaboration skills, with the ability to successfully manage both internal and external stakeholder relationshipsInterested candidates should apply by Wednesday, 18th February 2026.We offerFree parking incl. EV charging – where applicableOn-site gym in Kilkenny free to use for employeesParenting roomWork/life balance and collaborative work cultureCareer progression opportunitiesAbout usThrough our expertise in research and development, customer insights, food safetyand state-of-the-art manufacturing we bring innovative food and nutrition solutions to a global market. Our new and vibrant headquarters in Kilkenny City operates as a collaboration hub where multi-functional teams come together in a hybrid work environment.Commitment to Diversity & InclusionWe believe in the value of difference. We know that different perspectives, life experience and backgrounds can drive innovation and deliver growth.We welcome people from all walks of life without regard to race, colour, religion, sex, sexual orientation, gender perception or identity, national origin, age, marital status, or disability status.Join our Talent PoolConsidering a new career in Tirlán but this isn’t the role for you? Join our talent community and sign up for job notifications at www.tirlan.com/careers
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