A financial services provider in Dublin is seeking a Treasury and Trade Finance Analyst to manage cash operations, banking relationships, and international trade finance instruments.
This role involves daily reporting, supporting treasury operations, and ensuring compliance with documentary requirements.
Candidates should possess strong analytical, communication, and teamwork skills.
A recent qualification in Business or a related field is desirable, with 2-3 years of Treasury experience beneficial but not essential.
The position offers a dynamic work environment focused on achieving results.
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