Associate Director | Tax, Treasury & Practice - Talent Advisory & RecruitmentBarden are delighted to partner with a leading global business to help identify a Senior Treasury Analyst to join their Treasury team in Dublin.Reporting to the Treasury Manager, you will support the Treasury Operations across cash flow, liquidity and foreign exchange management, as well as supporting automation initiatives.A brilliant opportunity for a professional with at least four years of corporate treasury experience.An expectation to collaborate in the office 2 days per week.About the RoleCash management – manage cash, consolidate weekly cashflow forecasts and support the development of cash management structuresDebt management – manage debt and derivative portfoliosIntercompany – support the management of intercompany loansControls – ensure adherence to internal policies and proceduresProcess improvements – strive for enhanced efficiencies and drive automation initiativesAbout the PersonAt least four years corporate treasury experienceA strong knowledge of corporate treasury operationsExcellent ERP and Treasury Management systems experience (Kyriba advantageous)Ability to work on own initiative with strong attention to detailA natural problem solver with strong analytical and technical skillsDublin, County Dublin, IrelandWe’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
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