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This range is provided by Robert Walters. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.
Base pay range
Are you looking for a new challenge in treasury jobs in Dublin? We are recruiting a Treasury Administrator for a respected public sector organisation. This role is a 9-month fixed-term contract with the potential to become permanent.
This position offers an excellent opportunity for finance professionals seeking to build their career in treasury operations, bank reconciliations, and cash flow management within a structured public sector environment.
The Role
As a Treasury Administrator, reporting to the Finance Manager, your responsibilities will include:
* Daily bank reconciliations across multiple accounts
* Monitoring suspense accounts and resolving unreconciled transactions
* Managing bank accounts, mandates, savings, direct debits, and banking portal access
* Assisting with cash flow forecasting to support financial planning and treasury strategy
* Processing settlements and supporting month-end reconciliations and reporting
* Driving treasury process improvements and supporting finance transformation projects
* Responding to queries from internal and external stakeholders
Candidate Requirements
* Degree (NFQ Level 7+) in finance, business, or a related field
* At least 3 years' experience in management accounts, reconciliations, and financial statements
* Strong skills in Excel and MS Office
* Excellent communication, stakeholder management, and problem-solving abilities
* Ability to work on own initiative as well as part of a team
What's on Offer
* A 9-month contract in the public sector with strong potential for permanency
* Hands-on experience in a Treasury Administrator role with scope to influence a new treasury function
* Exposure to finance transformation projects in a large-scale organisation
* Supportive, professional, and collaborative team environment
Key Skills
treasury administration, treasury jobs Dublin, bank reconciliations, cash flow forecasting, financial reporting, Excel (advanced), stakeholder communication, treasury operations, process improvement, public sector finance
If this sounds like an opportunity you may be interested in, please feel free to apply with an up to date CV or reach out to Neil, our dedicated Consultant in total confidence.
Are you looking for a new challenge in treasury jobs in Dublin? We are recruiting a Treasury Administrator for a respected public sector organisation. This role is a 9-month fixed-term contract with the potential to become permanent.
This position offers an excellent opportunity for finance professionals seeking to build their career in treasury operations, bank reconciliations, and cash flow management within a structured public sector environment.
The Role
As a Treasury Administrator, reporting to the Finance Manager, your responsibilities will include:
* Daily bank reconciliations across multiple accounts
* Monitoring suspense accounts and resolving unreconciled transactions
* Managing bank accounts, mandates, savings, direct debits, and banking portal access
* Assisting with cash flow forecasting to support financial planning and treasury strategy
* Processing settlements and supporting month-end reconciliations and reporting
* Driving treasury process improvements and supporting finance transformation projects
* Responding to queries from internal and external stakeholders
Candidate Requirements
* Degree (NFQ Level 7+) in finance, business, or a related field
* At least 3 years' experience in management accounts, reconciliations, and financial statements
* Strong skills in Excel and MS Office
* Excellent communication, stakeholder management, and problem-solving abilities
* Ability to work on own initiative as well as part of a team
What's on Offer
* A 9-month contract in the public sector with strong potential for permanency
* Hands-on experience in a Treasury Administrator role with scope to influence a new treasury function
* Exposure to finance transformation projects in a large-scale organisation
* Supportive, professional, and collaborative team environment
Key Skills
treasury administration, treasury jobs Dublin, bank reconciliations, cash flow forecasting, financial reporting, Excel (advanced), stakeholder communication, treasury operations, process improvement, public sector finance
If this sounds like an opportunity you may be interested in, please feel free to apply with an up to date CV or reach out to Neil, our dedicated Consultant in total confidence.
Desired Skills and Experience
treasury administration, treasury jobs Dublin, bank reconciliations, cash flow forecasting, financial reporting, Excel (advanced), stakeholder communication, treasury operations, process improvement, public sector finance,
Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Seniority level
* Seniority level
Not Applicable
Employment type
* Employment type
Full-time
Job function
* Job function
Accounting/Auditing, Administrative, and Finance
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