Treasury Manager - Sigmar Recruitment
  • Dublin, Other, Ireland
  • via ClickaJobs (1)
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Job Description

About Your New Employer Treasury Manager role with a Dublin city business in the Energy sector. (Hybrid Working) About Your New Job Responsible for overseeing the day to day operations of the treasury function ensuring effective management of cashflow, liquidity, financial risk. Manage and monitor daily cashflow and forecasting to ensure the company meets its financial obligations. Own and report the core liquidity KPIs to management and shareholders. Ensure the underlying models reflect the latest market conditions. Develop and maintain treasury policies and procedures to ensure robust controls and efficient operations. What You Need 4+ years experience in a treasury function of a relevant, comparable company Modelling skills particularly focussed on cashflow scenarios. Experience with Python, MATLAB or similar. Unrestricted work rights in Ireland (sponsorship not on offer). Whats on Offer €60,000 + 20% Bonus & Benefits. Strong career progression in a growing company. Whats Next Apply now by clicking the Apply Now" button or get in touch with me, Ben Ryan at for more details. Or if the job isnt quite right but you are looking for something similar, please get in touch. Why Apply Through Sigmar? Well help manage your job hunt, strengthen your interview skills and tidy up your CV Well provide you with an overview of the jobs market within your industry and help you tailor your jobs search Gain access to exclusive roles that are not advertised elsewhere Skills: "treasury" "Cashflow" "modelling"

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