Our client, a leading Irish headquartered Plc with international operations is currently recruiting a Treasury Analyst for a newly created position, based in Dublin. 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:
- Managing relationships with key internal (businesses) and external (banks, etc) stakeholders
- Developing, as part of the wider Treasury group, an effective, efficient and secure banking platform
Supporting our businesses with account opening / closing, onboarding into reporting and cash pooling arrangements and ongoing KYC requirements
- Ad hoc and other day to day duties as required.
Requirements for this Role
You will be a graduate with at least 2 years experience in a corporate or bank/financial services Treasury environment.
Experience with e-banking, account opening & onboarding and compliance requirements is desirable.
About Our Client
Our client is a leading Irish Plc, headquartered in Dublin.
Attractive + benefits.