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Treasury Manager

REF J47887
Location: Dublin City
Employment Type: Permanent
Salary: Negotiable

Our client, a global financial services provider, is seeking a Treasury Manager to join their Dublin based office. This role will be a controlled function and will report directly to the Treasurer.

The Job:
• Manage a small team of experienced treasury professionals
• Manage all cash management across several currencies
• Provide details weekly cash forecasting
• Manage banking relationships across all levels
• Manage the annual Liquidity Risk Programme
• Manage and oversee liquidity stress testing
• Careful control of FX exposures on the balance sheet
• Responsible for annual net interest income & pricing of deposits

The Candidate:
• Min 5 years' treasury experience in a banking environment
• Degree in Business/Finance and / or relevant professional qualification (CFA, ACA, etc)
• Knowledge of regulations, liquidity & market risk
• Proven experience managing a high performing team
• Experience of managing treasury risk frameworks
• Track record of developing & implementing policies
• Excellent communication and presentation skills

If interested, please email Alan Bluett for more details or to arrange a confidential chat.

Interested in this position?

Speak with Alan Bluett about this role today.