We are seeking a Treasury Manager/Director to join our front office team in Dublin.
The successful candidate will have significant finance and treasury experience, a professional finance degree or equivalent qualification, and strong analytical skills. They will also be responsible for origination, structuring and negotiation of debt transactions, cash forecasting and management of liquidity position, implementation of group hedging strategy and interaction with other internal departments.
Key Responsibilities:
* Origination, structuring and negotiation of debt transactions
* Cash forecasting and management of liquidity position - investment / deposit strategy / cash position
* Implementation of group hedging strategy from counterparty selection
* Interaction with other internal departments - sales, trading etc.
Requirements:
* Experienced Finance professional with significant finance and treasury experience
* Professional finance degree or equivalent qualification
* Accounting, finance or ACT qualification is beneficial
* Hard working team player and ability to perform under pressure