Treasury Accountant - Based in Naas Hybrid Role ( 3 days office based/ 2 days remote) Permanent Role Management of FX positions and exposures across the Group. Preparation of month-end Treasury reporting files to Group deadlines. Issuance of Treasury monthly reporting packs. Management of SAP Treasury modules. Completion of Treasury bank reconciliations. Preparation of Group inter-company settlement files, distribution of inter-company statements and completion of payment files. Support the preparation of statutory accounts and the year-end audit. Review of subsidiary financial statements for Treasury related matters. Participation in Group Treasury projects Skills: Treasury Accountant Financial Accountant Management accountant