Job Description Excellent opportunity for a treasury/finance operations professional (3-5 years experience) to join an influential asset manager in Dublin.
Key responsibilities will include: Supporting and delivering core treasury processes and systems in conjunction with IT.
Managing and administrating Treasury systems (SWIFT, Euroclear etc.), including settlement instructions for domestic and international payments and providing end-user assistance and training.
Working with internal stakeholders to streamline processes and increase efficiency within Treasury financial systems.
Requirements for this Role Successful candidate will likely have the following background: A diploma or degree in Finance, Business or IT.
3-5 years experience in treasury, finance operations or similar.
A good understanding of treasury products and derivatives.
Experience with SWIFT or Euroclear would be advantageous.
About Our Client An influential asset manager based in Dublin.
Remuneration Attractive salary and benefits package.
Your application will be directed toDaniel Corbett.
Not interested in this role, but know someone who might be?
Refer a friend to FK International to receive a €500 voucher should we successfully place your friend.
Please refer to our website for applicable Terms & Conditions.
Skills: Treasury Treasury Systems SWIFT Derivatives Euroclear