Our client is a market leading outsourced corporate services provider.. Its headquartered in Luxembourg and employs over 120 individuals across all its juristictions. They are looking to recruit for a Treasury Administrator in their Dublin office.
-Responsible for daily cash management on one or more clients.
-Maintenance and cordination of all Treasury documentation.
-Ensure Treasury procedures are up to date .
-Administer all aspects of the client netting cycles.
-A Bachelors degree or equivalent in accounting or finance.
-Strong numerical and IT skills.
-Excellent attention to detail.
-Ability to work under pressure.
-Prior Treasury systems and experience an advantage.
-Advanced Microsoft excel experience.
-Motivated and can do attitude