Our client, a global corporate with substantial treasury operations in Ireland, is currently seeking an FP&A Analyst to join their Dublin based treasury team.
Working on a team of 4 you will report to the Finance Director based locally.
The company operate a hybrid working structure with just 2 days working in the office.
If you are numberate, experienced in FP&A and like systems, then apply today
The Job:
Drive simplification & digitization initiatives across treasury functions Lead the development of new FX reporting and planning tools/processes Build and develop the hedge reporting to allow effective hedge management and execution.
Work with regional and product finance teams to drive understanding of FX impact on results Drive improvements in forecasting to optimise FX planning Provide FX commercial finance support to pricing & financial services teams Ensure timely & accurate quarterly / yearly closing FX processes
The Candidate:
Qualified Accountant (ACA, CIMA, ACCA) Minimum 2 years+ PQE, preferably in a multinational organisation Demonstrated ability to analyse and resolve problems Demonstrated ability to lead projects and work independently Proven financial systems skills with experience in system development preferable If you are interested in this position, please send a CV in confidence to Alan Bluett at the enclosed address.
Skills:
FP&A Treasury Systems financial products TMS qualoified accountant
Financial Planning Benefits:
Group Life Assurance Medical Aid / Health Care Paid Holidays Performance Bonus Pension Fund