Seeking a Treasury Manager to oversee day-to-day operations, manage cashflow, and ensure effective financial risk management in a Dublin-based Energy sector company.
Key Responsibilities:
- Manage and monitor daily cashflow and forecasting to ensure the company meets its financial obligations.
- Own and report core liquidity KPIs to management and shareholders.
- Develop and maintain treasury policies and procedures to ensure robust controls and efficient operations.
Requirements:
- 4+ years experience in a treasury function of a relevant company.
- Modelling skills, particularly focused on cashflow scenarios.
- Experience with Python, MATLAB, or similar.
- Unrestricted work rights in Ireland.
What's on Offer:
- €75,000 - €80,000 salary.
- 20% Bonus.
- Benefits.
- Strong career progression in a growing company.