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Treasury Analyst – Plc (Hybrid working)

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Industry:
Plc
Location:
North East
Job Type:
Permanent
Refrence No.:
J019401GB

Job Description

– Multinational

Our client, a leading Irish headquartered Plc with international operations is currently recruiting a Treasury Analyst for a newly created position. Reporting to a Treasury Manager and working closely with the Group Treasurer and Senior Management, this represents an outstanding opportunity to progress your career in a high performing international environment. Key responsibilities will include:

  • Daily cash management, forecasting and liquidity management
  • FX and Interest rate risk management
  • Execution and confirmation of all trades in an accurate and timely manner
  • Supporting the ongoing improvement and development of processes and systems
  • Other Ad-hoc duties as required.

 

Requirements for this Role

You will be a graduate with c.3 years experience in a treasury or financial services team environment with experience of treasury/operations/payments in a corporate environment.

Attention to detail and an enthusiasm to learn and contribute to the success of the business are essential characteristics.

About Our Client

Our client is a leading Irish Plc

Remuneration

Attractive + benefits.