HireForce is working with a MNC that are seeking a Treasury Analyst to join their finance team. The successful candidate will join an expanding multi-national organisation with strong growth plans. The ideal candidate will be energetic, display strong interpersonal and communication skills, is comfortable around a changing environment and possesses strong organisational skills with the ability to manage multiple priorities at once and take on new challenges.
Key Responsibilities:
* Support the management of the company's foreign exchange hedging activities, including execution of transactions for business units.
* Prepare, review, and enhance cashflow forecasts while driving improvements in cash management processes.
* Monitor short- and long-term liquidity requirements across entities and execute money market transactions where required.
* Conduct balance sheet analysis to support hedging and broader risk management strategies.
* Maintain and develop treasury procedures, ensuring best practice is embedded across the function.
* Deliver accurate weekly and monthly treasury reports for senior stakeholders.
* Oversee daily cash position reporting and support the preparation of weekly, monthly, and annual cashflow forecasts.
Requirements:
* Bachelor's degree in a related discipline.
* Previous experience in a corporate treasury function.
* Strong communication and interpersonal skills, with the ability to work effectively across finance teams and business units.
* Proficiency in a recognised Treasury Management System, as well as Microsoft Excel, Word, and PowerPoint.
Package:
* Competitive salary (DOE).
* Performance bonus and pension scheme.
If this role is of interest to you, please feel free to reach out to me at or for a confidential chat. If you know of any friends or colleagues who might suit this role and would like to refer them, you will receive a €250 voucher should we successfully place them.