Group Treasury & Banking Lead

BOYLE Sports

Leinster

On-site

EUR 90,000 - 120,000

Full time

5 days ago
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Job summary

BOYLE Sports is seeking a Group Treasury Manager to oversee banking and liquidity across the group, including Euro and GBP accounts, ensuring robust controls and timely reconciliations. The role collaborates with Finance to steward liquidity, optimise cash balances and engage with banking partners.

The role sits at Dundalk HQ on-site and requires strong leadership, governance and change-driven improvements within a fast-paced, high-volume treasury environment.

Qualifications

  • Previous experience in a senior or managerial treasury role within a high-volume, fast-paced environment.
  • Strong IT skills and systems capability with Excel skills (Pivot tables, vlookups, data analysis) essential.
  • Accurate, with an eye for detail.
  • Excellent organisation skills with the ability to prioritise and manage multiple tasks.
  • Solution-focused with clear, professional communication across all levels.
  • High levels of discretion and integrity in treasury activities.

Responsibilities

  • Oversee management of all Group bank accounts across entities, jurisdictions, platforms and currencies (EUR/GBP).
  • Lead treasury team to ensure timely bank reconciliations monthly with high quality and issue resolution.
  • Manage complex reconciliations across online platforms and payment flows with internal/external partners.
  • Coordinate funding and liquidity for multi-currency accounts to support operations.
  • Manage short-term investment portfolios and FX exposure; drive process automation.
  • Produce treasury KPIs and cash flow forecasting for visibility of liquidity.

Skills

Attention to detail
Organisational skills
Communication across levels
Discretion and integrity
Solution-focused attitude
Straight talking
Leadership

Tools

Excel
Pivot tables
VLOOKUPs
Data analysis

Job description

BOYLE Sports is seeking a Group Treasury Manager to oversee banking and liquidity across the group, including Euro and GBP accounts, ensuring robust controls and timely reconciliations. The role collaborates with Finance to steward liquidity, optimise cash balances and engage with banking partners.

The role sits at Dundalk HQ on-site and requires strong leadership, governance and change-driven improvements within a fast-paced, high-volume treasury environment.

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