An exciting opportunity has arisen for aTreasury Analystto join a dynamic treasury team based in Dublin 6. This role is ideal for individuals with a strong background in corporate treasury, looking to develop their career within a large European Corporate. The position is part of a small, dyamic team and you wil report directly to the Treasury Director. The company operate a hybrid working policy with just 2 days in the office per week. The Job Daily cash pooling for the Group Intercompany funding management Funding of corporate transactions FX exposure management External financing operations Management of bank relationships Issue resolution with Finance and Accounting teams Collaborating with auditors on quarterly and year-end audits Ensuring accurate maintenance of bank accounts, cash-pools, and treasury systems Processing various treasury payments and transfers across a suite of banking systems Supporting ad-hoc projects as required The Candidate Minimum 2 years experience within treasury Previous corporate treasury experience is preferred Degree in business, finance, or economics Professional qualification advantageous (ACT, ACA, ACCA, CFA, etc.) Strong TMS experience Good IT skills Skills: Treasury Cash Management Foreign Exchange Finance TMS Treasury Analyst