Treasury Analyst for Growing Finance Team
Our client, a leading data centre delivery partner, is seeking a skilled Treasury Analyst to join their team in Dublin.
The ideal candidate will have a strong background in finance and accounting, with experience in cash management, foreign exchange, and treasury analysis.
Responsibilities:
* Accurately perform daily cash management and treasury activities for multiple currencies;
* Process payments and manage bank accounts;
* Daily reporting of bank balances and foreign currency exposure analysis;
* Implement financial policies and procedures;
* Support the team with accounts receivable and produce accurate cash forecasts;
Requirements:
* Bachelor's degree or equivalent in accounting, finance, or economics;
* Strong numerical and IT skills, with attention to detail and ability to prioritize tasks;
* Excellent verbal and written communication skills, with ability to work as part of a team and use own initiative;
* Foreign exchange and treasury experience preferred.
This is a full-time permanent role, offering a challenging opportunity to grow with a successful company in the data centre sector.