Senior Treasury Analyst / Manager
We're working with a leading Irish-owned technology group headquartered in the Midwest region that continues to expand its global footprint. With a strong focus on innovation, sustainability, and long-term strategy, this company supports a wide range of operational and investment activities across multiple international markets.
As part of continued growth, they are hiring a Senior Treasury Analyst to join the finance function. This is a hands-on role offering strong exposure to group treasury operations, investment strategy, and risk management. Ideal for someone eager to take ownership of analytical outputs, partner with senior stakeholders, and shape best-practice treasury operations.
Key Responsibilities:
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Assist with group liquidity, cashflow planning, and treasury transactions (FX, money markets, etc.)
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Deliver high-quality reporting and analysis to support investment decisions
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Contribute to risk monitoring, policy implementation, and compliance
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Drive improvements in treasury systems, controls, and modelling
What We're Looking For:
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3–5 years' experience in treasury, finance, or investment roles
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Strong financial modelling and analysis skills
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Exposure to treasury systems and banking processes
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A self-starter with excellent communication and commercial acumen
This is an excellent opportunity for a finance professional ready to take the next step in a progressive and values-driven company.