My client, a leading global alternative investments organisation is seeking a Treasury Manager for their central Dublin office.
The successful candidate will report directly to the Treasury Vice President of European Fund Administration.
Key Responsibilities Review deal settlement payments, vendor payments and working with external corporate servicers on payment processing and new vendor onboarding reviews.
Manage bank account opening and closings as well as KYC onboarding requirements.
Cash Management reporting.
Identifying and implementing improvements to management in systems and controls around the treasury function.
Requirements for the role 5+ years experience in a treasury team of a financial services organisation Vendor management experience Implementation and maintenance of strong treasury controls Competitive base salary and benefits package and the opportunity to work with a well-established and progressive company.
If you are interested in this role, please forward your CV today to Genevieve at for consideration.
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Skills: treasury treasury operations cash management Benefits: Paid Holidays Pension See Description Permanent Health Insurance