Job Description Group Treasury manages funding of the group through bank debt, commercial paper and issuing bonds.
The team consists of 8 treasury professionals.
Why this role is important to us You will manage the daily front and back-office treasury processes and the associated accounting, reporting and systems maintenance.
This role is a hybrid opportunity based in our Dublin office reporting into our Treasury Transformation and Project Manager Work that matters - What you'll do Accountable for the integrity of the Treasury Systems Provide Treasury Systems subject matter expertise to the Treasury team Investigate and prioritise the rollout of new system(s) functionality Manage upgrades and hotfixes to the Treasury Management System Benchmark existing treasury practices with industry best practices and recommend areas for development Qualifications What you'll need to bring to the role & Experian IT literate with previous Treasury Management System and Database experience including SQL Knowledge of how to resolve system issues during delivery and execution Experience of support the systems audit processes with both external and internal auditors Exposure to user community in preparation of User Acceptance Test scripts for any new functionality Knowledge of how to develop automation and digital tools to best enhance Group treasury processes More about you Experience of transforming operations through improvement and new ideas; Collaborator with experience engaging a high-performing team Experience navigating and influencing management and partner organisations Quality-focused person who is task orientated Additional Information Additional information Benefits package includes: Hybrid and flexible working Great compensation package and discretionary bonus plan Core benefits include pension, Vhi healthcare, sharesave scheme and more 25 days annual leave with 8 bank holidays and 3 volunteering days.
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