Treasury Analyst
We are seeking a highly analytical and motivated Treasury Analyst to join our team based near Dublin Airport.
Key Responsibilities:
* Oversee the company's cash pooling arrangements.
* Manage daily liquidity and medium-term cash flow forecasting in partnership with divisional finance teams.
About You:
* Strong analytical skills and financial modelling expertise.
* Degree in Business, Finance, Economics, or Accounting.
* Desirable: experience with treasury systems and a recognised treasury qualification.
* At least two years' experience in a similar role.
* Ambitious, self-motivated, and able to work independently.