Job Title: Treasury Operations Specialist
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We are seeking a skilled Treasury Operations Specialist to support global bank account operations. This is a high-visibility role focused on managing bank accounts across multiple jurisdictions in a fast-paced, international finance environment.
The day-to-day involves:
* Opening and closing bank accounts across multiple jurisdictions
* Handling signatory updates, KYC documentation, and regular compliance maintenance
* Leading updates with banks on documentation, timelines, and status
* Direct portal administration (e.g. CitiDirect, CashPro) and managing access
This is a critical role in our treasury team, requiring strong attention to detail and ability to manage projects independently.
Requirements:
* Recent experience in a corporate treasury or banking environment
* Demonstrated global banking exposure - this means opening/closing accounts and managing compliance across regions
* Experience interacting with external banks and legal teams
* Proficiency with banking platforms such as FIS Quantum, CitiDirect, or CashPro
Benefits:
* Opportunity to work with a high-performing treasury team at enterprise scale
* Location: Dublin City (3 days onsite, 2 remote)
* Contract: 11 months
* Hours: Monday–Friday, 9am–6pm