Senior Treasury Manager
Our client is a global firm with a substantial corporate treasury operation based in Dublin. They are now seeking a Senior Treasury Manager in a newly created role.
- Short-term liquidity management
- Group cashflow budgeting, actuals and variance analysis
- FX risk management
- Ongoing projects
- Graduate in Business or Finance
- Professional qualification preferred (CFA, ACT, ACCA, etc)
- Minimum 10 years' experience within treasury
- Strong direct experience from a multinational corporate treasury operation
Interested candidates please send your CV to Alan Bluett at the enclosed address.