A global insurance provider in Dublin is seeking a Treasury Senior Analyst to oversee cash management activities.
Responsibilities include optimizing cash processes, forecasting liquidity, and ensuring compliance with global standards.
Ideal candidates will have several years in corporate treasury, strong analytical skills, and a BA in Finance.
This position promotes teamwork and involves communication with stakeholders at all levels.
The role offers a competitive salary and comprehensive benefits package.
#J-*****-Ljbffr