This is an exciting opportunity for a Head of Treasury Accounting & Controlto join a leading international corporate whose global treasury & finance centre is based in Dublin.
The Successful candidate will play a pivotal role in overseeing the accounting functions related to treasury activities, ensuring accuracy and compliance with financial regulations.
The offices are based in the city centre and they operate a hybrid working culture.
The Job Lead the accounting and reporting functions for all treasury-related activities Ensure accurate and timely preparation of financial statements, reports and disclosures Develop and implement accounting policies, procedures, and internal controls for treasury functions Oversee management reporting for cash management, liquidity analysis and debt management Provide timely insights and analysis to the VP Treasury, the executive team, and the Board on financial performance, cash flow, and treasury metrics Collaborate with internal and external stakeholders to optimise treasury processes and enhance financial reporting Prepare and analyze quarterly and annual financial reports for treasury activities, including variance analysis Monitor and analyse market trends, interest rates, and currency movements related to treasury operations Build and mentor a high-performing accounting and reporting team Conduct performance evaluations and provide professional development opportunities for your team Proactively manage the tax implications on the treasury function Leverage technology to enhance treasury efficiency and contribute to digital transformation initiatives Identify, monitor, and manage financial risks, including interest rate and fx exposures Support the design and execution of the groups treasury strategy, The Candidate Degree educated Possess a recognized accounting qualification Min 10 years experience in accounting, with a focus on treasury reporting Strong understanding of financial instruments, hedge accounting, and risk management Extensive knowledge of accounting principles, treasury operations, and regulatory compliance Proven experience managing teams and driving process improvements Strong analytical skills and experience with financial analysis and reporting software Proficiency in TMS and financial modeling tools Exceptional communication and interpersonal skills Ability to collaborate effectively across departments.
Skills: Treasury Control TMS Qualified Accountant IFRS Treasury Accounting Reporting Hedge Accounting Benefits: Group Life Assurance Medical Aid / Health Care Pension Fund Performance Bonus Paid Holidays