The Role: Senior Treasury Analyst, Shannon, Co.
Clare An excellent opportunity has arisen for an experienced Senior Treasury Analyst to join our client's dynamic and growing finance team.
As a Treasury Analyst you will play a key part in managing group treasury functions, investment activities and supporting related entities.
You will be responsible for delivering high-quality financial data, analysis and insights that inform sound investment and funding decisions.
We are looking for a proactive, detail-oriented professional with strong analytical skills, up-to-date technical knowledge, and the ability to communicate effectively across the business.
Integrity, energy, and a commitment to excellence are essential to success in this position.
Key Responsibilities Treasury Management: Support the management of liquidity, cash flow, and banking relationships.
Assist in forecasting cash requirements and operational funding needs.
Execute treasury transactions including money market and FX activities.
Investment Analysis willingness to pursue one is essential.
Experience: 3–5 years' experience in treasury, investments, or financial analysis.
Strong financial modelling and data analysis capability.
Understanding of financial instruments, markets, and risk management practices.
Familiarity with KYC and financial compliance processes.
Technical Skills: Advanced Excel and financial modelling proficiency.
Experience with treasury management or financial systems.
Strong analytical and presentation skills.
Communication: Excellent written and verbal communication.
Ability to explain complex financial information clearly and effectively.