A leading biotechnology company is seeking a Treasury Manager for its Dublin office. This temporary, full-time role focuses on Treasury Operations, Cash Management, and FX functions, requiring over 5 years of corporate treasury experience. The role allows for hybrid work arrangements. The ideal candidate will have strong analytical skills, proficiency in Excel, and an understanding of treasury operations including cash forecasting and bank account management. A university degree in Business, Accounting, or Finance is essential.
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