Job Title: VP of Treasury & OperationsSector: Aircraft LeasingLocation: Dublin City (Hybrid)Salary: €160,000 – €200,000 plus Bonus, LTIP, Pension & HealthAbout Our ClientOur client is a rapidly growing Aircraft Leasing company, recently headquartered in Dublin. As the business enters a new phase of strategic expansion, they have created the role of VP of Treasury & Operations, a key position within their finance function.Why Should You Apply?This is a rare opportunity to join a dynamic organisation at a pivotal point in its growth journey. The role sits at the heart of a high-performing treasury function, working closely with a commercially minded Treasurer & Group CFO. The successful candidate will have the chance to:Influence strategic decisions at a senior levelWork within a best-in-class treasury functionCollaborate with senior stakeholders including the Head of Tax and international finance teamsWho Should ApplyWe are seeking senior treasury professionals from large corporates or financial services looking for a leadership role. The ideal candidate will have:10+ years' experience in a senior treasury roleStrong exposure to international treasury operations and financing structuresExperience with syndicationDemonstrated leadership skills and a strategic mindsetComfort working in a fast-paced, evolving environmentRole and Reporting LinesReporting directly to the Treasurer and Group CFO, the VP of Treasury & Operations will work closely with the Head of Tax and senior leadership. Key responsibilities include:Cash Management: Oversee global cash flow forecasting and liquidity managementBanking Relationships: Manage relationships with key banking partners and financial institutionsSyndication - Lead end to end from asset selection through closingFinancing Strategy: Develop and implement group-wide funding strategies to support growthTreasury Operations: Establish and scale treasury policies, controls, and systemsRisk Management: Monitor and manage FX, interest rate, and other financial risksStakeholder Reporting: Provide insightful reporting to the CFO, board, and investorsIntegration Projects: Support treasury integration for newly acquired international entitiesBusiness Partnering: Collaborate with the Head of Tax and wider finance team to align treasury strategiesApplication ProcessInterested candidates should submit their CV to Niall O'Kelly, who is managing this assignment. For enquiries, contact Niall on