Treasury & Cash Manager

1125109
  • Job type

    Permanent
  • Location

    Dublin City
  • Working Pattern

    Full-time
  • Specialism

    Support Ledgers And Bookkeeping
  • Industry

    Banking & Financial Services
  • Pay

    €60,000 - €90,000

Treasury & Cash Manager required for an in-house bank management role – Dublin city - 60-90K DOE

Your new company

This global company have their banking and financial headquarters centralised in Dublin and are implementing a new TMS system in the coming year that will further streamline the treasury and cash management processes. They are seeking to expand their team with a newly created role to oversee treasury and cash movement. This role will initially be a 24-month contract with the potential for permanency. The office is centrally located in Dublin city.

To be considered, you will ideally have in-house treasury experience and must hold a relevant working visa or EU passport.

Your new role

You will join a small but well-established team of treasury professionals, reporting to the assistant group treasurer. Your duties will include :

  • Review cash management structures
  • Assist with the development of new global cash management systems
  • Working with international counterparts to migrate other territory accounts to the central treasury office where required
  • Management and reporting on cash pools, cashflow forecasting and payments
  • Liaison with banking partners throughout to assist with connectivity issues and payment solutions
  • Assist with the implementation of the new TMS system
  • Managing bank connectivity integrations (SWIFT, host‑to‑host (SFTP), API).
  • Process improvement, identifying streamlined solutions and assisting with the design and implementation of new processes across the group.

What you'll need to succeed

To be considered for this role, you will require a minimum of 5+ years' experience working in a similar role, ideally within an in-house treasury team.

You will also have :
  • Prior experience implementing new TMS systems and new treasury procedures an advantage
  • Ability to work well on your own initiative
  • Excellent communication and interpersonal skills
  • Relevant degree or further education in Business, finance or similar
  • Strong Excel skills
  • SWIFT, SFTP and API knowledge
  • Detail-oriented and solutions mindset

What you'll get in return

This role offers an excellent opportunity for an experienced professional to join a well-established company and take on an important role. You will be offered a salary between 60k–90k depending on your level of experience and expertise in the area. This role is a newly created position, thus offering the flexibility to make the role your own. As this role is a contract position to begin, benefits such as pension and healthcare will not be offered, but these are given if made permanent. The office is centrally located in Dublin city centre, and offers hybrid working with 50% time in office and 50% from home once fully settled in.


What you need to do now


If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.


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Apply for this job

Talk to Isabelle Phillips, the specialist consultant managing this position

Located in Hays Recruitment, Dublin, 26/27a Grafton Street, Dublin, Telephone: 015710011
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