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Treasury manager/senior manager

Dublin
Azurity Pharmaceuticals
Treasury manager
Posted: 14 May
Offer description

Azurity Pharmaceuticals is a privately held, specialty pharmaceutical company that focuses on innovative products that meet the needs of underserved patients. As an industry leader in providing unique, accessible, and high-quality medications, Azurity leverages its integrated capabilities and vast partner network to continually expand its broad commercial product portfolio and robust late-stage pipeline. The company’s patient‑centric products span the cardiovascular, neurology, endocrinology, gastro‑intestinal, institutional, and orphan markets, and have benefited millions of patients. For more information, visit www.azurity.com .
Azurity Pharmaceuticals is proud to be an inclusive workplace and an Equal Opportunity Employer. Azurity's success is attributable to our incredibly talented, dedicated team that focuses on benefiting the lives of patients by bringing the best science and commitment to quality into everything that we do. We seek highly motivated individuals with the dedication, integrity, and creative spirit needed to thrive in our organization.
We are seeking a Treasury Manager/Senior Manager to join a growing, PE‑backed pharmaceutical group and support the build‑out of a more strategic, centralised global treasury function.
This role will sit closely alongside Tax, with responsibility for liquidity management, cash pooling, intercompany funding and treasury support for financing and M&A activity, including the potential establishment of a finance company / SPV structure.
This is a hands‑on role suited to someone with strong technical foundations, a commercial mindset, and the ability to communicate clearly with senior stakeholders.
Key Responsibilities
Liquidity & Cash Management

Own group liquidity management, including short‑and medium‑term cash forecasting
Lead daily and periodic cash positioning, funding decisions and cash visibility reporting
Design, implement and operate cash pooling and intercompany funding structures, aligned with tax, legal and banking requirements
Support senior finance leaders in understanding cash runway and funding needs in a loss‑making / growth environment

Treasury Operations & Banking

Manage global banking relationships, bank account structures and signatory controls
Oversee treasury operational activity, including:
Bank account openings and closures
KYC / AML processes
Letters of credit and bank guarantees
Develop and maintain robust treasury policies, procedures and KPIs, aligned with audit and PE expectations

Finance Company / SPV & Deal Support

Support the design and operation of a finance company or SPV, working closely with Tax, Legal and external advisers
Manage intercompany loans and funding flows, ensuring appropriate documentation, pricing and controls
Provide treasury input into:
M&A execution and integration
Acquisition financing and fund flows
Internal restructurings and refinancings

Systems, Controls & Governance

Own treasury processes within ERP / treasury systems and bank portals
Strengthen internal controls around cash, funding and liquidity risk
Prepare clear, decision‑useful treasury reporting for senior leadership and executives

Stakeholder Management & Communication

Work closely with:
Global Tax (including cash tax modelling and Pillar Two interaction)
Communicate complex treasury matters in plain, commercial language
Operate effectively in an environment where Tax and Treasury are closely aligned

Experience & Qualifications

7–12+ years’ experience in Corporate Treasury, Banking or Big 4 advisory
Senior Manager or strong Manager level only
Big 4 background strongly preferred
Demonstrable experience in:
Liquidity management and cash forecasting
Cash pooling and intercompany funding
Complex multinational treasury operations
Experience working within, or closely alongside, Tax and Treasury functions
Strong communication skills and confidence dealing with senior executives

Highly Desirable

PE‑backed or loss‑making company exposure
Experience with SPVs, holding companies or finance companies
Treasury qualification (ACT / CTP / AMCT) advantageous, not mandatory

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