Our client, a global leader in the manufacturing sector with a significant treasury function based in Ireland, is looking to hire a Senior Front Office Analyst to join their Dublin-based team. The Role Manage foreign exchange (FX) risk across the loan portfolio Execute derivative transactions with external banking partners Issue global intercompany loans and oversee all related contracting, execution, and reporting tasks Track and interpret market developments to support decision-making Design and implement hedging strategies using suitable financial instruments Support broader tax planning, liquidity forecasting, and cash management activities The Ideal Candidate Degree in Business, Finance, Economics, or a related field Minimum of 4 years experience in Banking or Corporate Treasury, with a focus on FX trading preferred Strong working knowledge of FX derivative instruments and front office operations Familiarity with systems such as SAP, Bloomberg, and 360T is an advantage Excellent communication skills, both written and verbal Collaborative and proactive approach to working in a team environment Skills: Treasury Foreign Exchange Trade Dealer Front Office Corporate Finance FX