A leading financial services provider in Dublin is seeking a Treasury Analyst to join their Global Treasury Operations team.
The role involves cash and liquidity management, coordinating capital investments, and performing corporate dealings in money market and FX instruments.
Ideal candidates will have a relevant tertiary qualification and strong analytical skills, along with a commitment to risk management and continuous improvement.
This position offers exposure to senior management and opportunities for professional growth.
#J-*****-Ljbffr