In Barden we are delighted to be working with a global pharma business as they grow their finance team here in Cork. This innovative organisation is currently hiring a Treasury Accountant to take ownership of all aspects of treasury for the Cork site.
About the Role
This is a hands-on treasury position with the opportunity to broaden your exposure into wider accounting work. You’ll play a key role in managing cash, strengthening banking relationships, and supporting the finance team with reporting, analysis, and projects that drive the business forward.
Responsibilities
* Oversee daily cash activities, forecasts, and month-end cashflow reporting.
* Manage payment runs, cash collections, and reconciliations.
* Liaise with banks, auditors, and internal teams to ensure smooth cashflow operations.
* Maintain compliance with cash management policies and seek process improvements.
* Contribute to ad hoc finance projects and support the wider accounting function.
About You
You’re detail-focused, organised, and thrive in a fast-moving environment. Advanced Excel skills are essential, and SAP S/4HANA experience is a plus. A professional accounting qualification is desirable, along with 1–3 years’ experience in a similar role. You’re a proactive problem-solver who enjoys working both independently and as part of a team, and you’re keen to expand your finance expertise beyond treasury.
For more information contact me on aideen.murphy@barden.ie
#J-18808-Ljbffr