Senior Manager | Treasury (Middle Office) | Dublin
We’re partnering with a global platform within the aviation leasing sector to appoint a Senior Manager within its Treasury function.
This is a high-impact, highly visible role within a well-established team, offering broad exposure across risk management, reporting, and strategic treasury activities.
Why consider this opportunity?
Key role within a high-performing, low-turnover treasury team
Strong exposure to banks, senior stakeholders, and trading activity
Broad remit across risk, reporting, and treasury operations
Opportunity to shape reporting, analytics, and ways of working
Ideal for someone seeking depth and long-term growth in a Middle Office environment
The role:
Strong focus on interest rate risk management, including derivatives (swaps, caps, and hedging structures)
Exposure to regulatory reporting and bank interaction, supporting derivative activity and negotiationsOwnership of treasury reporting and analytics (hedging, debt, counterparty exposure, syndication)
Involvement in covenant compliance, documentation, and broader treasury operations
Opportunity to enhance reporting, processes, and analytics capability
About you:
Strong treasury background, particularly in interest rate risk and derivatives
Experience within a large corporate or global treasury environment (sector open)
Advanced Excel skills with the ability to interpret and present data clearly
Comfortable engaging with stakeholders across the business
Genuinely interested in a long‑term Middle Office career path
This is a rare opportunity to join a stable, high‑calibre team offering real breadth, visibility, and long‑term progression.
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