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What are we looking for in our Treasury Analyst?
Treasury Analyst Opportunity at a Rapidly Growing Engineering Firm
Our client is a dynamic engineering company experiencing rapid expansion by securing major infrastructure projects. To support their next phase of growth, they are seeking to hire a skilled Treasury Analyst to join their growing Finance Team at their head office in Dublin.
Responsibilities
1. Accurately perform daily cash management and treasury activities for multiple currencies
2. Processing payments
3. Daily Reporting of bank balances
4. Bank account set-up
5. Hedging analysis / preparation
6. Accounts receivable support
7. Producing accurate cash forecasts
8. Implementing financial policies and procedures
Skills & Qualifications
1. Bachelor’s degree or equivalent in accounting, finance or economics preferred
2. Strong numerical and IT skills
3. Foreign exchange and Treasury experience
Apply now if you want to advance in your career in a supportive and thriving environment. We are excited to see how you can contribute to our team.
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