We are working with an international renewable developer to appoint a Senior Treasury Analyst. The role sits within an experienced front office treasury team and involves delivering appropriate funding and risk management solutions to maintain a strong credit rating. THE ROLE:
1. Development and implementation of group liquidity strategy including management and forecasting of overall cash requirements
2. Execution of treasury related transactions, including money-market and foreign exchange, with international banks
3. Maintaining and leveraging strong bank relationships for the benefit of the group
4. Providing commercial and treasury support to Senior Management and business units, assisting in the analysis and evaluation of funding, market risk, collateral
5. Contributing to the development of high quality and efficient treasury management systems and processes
Requirements
6. A 3rd Level qualification or equivalent work experience
7. Minimum of five years’ experience in a treasury or related role (e.g. commercial banking)
8. Excellent communication, interpersonal and relationship management skills
9. Excellent analytical skills, combined with a commercial focus
10. Ability to work independently as well as part of a team