A leading Alternative Investment Management firm is seeking a Treasury professional to join its Dublin team. This is a key hire supporting treasury, banking, and trading line management functions across a dynamic global platform.
What You’ll Do:
* Take ownership of a new Treasury platform, driving enhancements and vendor management
* Manage external bank and custody accounts, entity onboarding, and liquidity oversight
* Analyse bank interest rates, service charges, and optimize yield across accounts
* Support internal setups for derivative, repo, and FX trading lines
* Collaborate cross-functionally with compliance, tax, legal, and middle office teams
What You’ll Bring:
* 5–10 years’ experience in Treasury, Cash Management and Liquidity.
* Asset Management, Capital Markets or Corporate Treasury is essential.
* Experience with bank integrations is a plus.
* Strong Excel skills; familiarity with treasury platforms and SWIFT a plus
* Detail-oriented, organized, and process-improvement focused
* Solid knowledge of fixed income markets is beneficial
Please apply by sharing your CV via the link
Seniority level
Mid-Senior level
Employment type
Full-time
Job function
Finance, Accounting/Auditing, and General Business
Industries
Investment Management, Investment Banking, and Financial Services
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