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A global leader in advanced technology solutions is seeking a Senior Treasury Analyst for their European Shared Service Center in Cork. This hybrid role focuses on managing treasury functions such as cash operations, forecasting, and FX hedging while contributing to strategic projects. Ideal candidates will have a degree in Finance and over 3 years of treasury experience in a multinational setting. Strong analytical skills and advanced Excel are essential, with knowledge of SAP and Bloomberg a plus.
We’re partnering with a global leader in advanced technology solutions to appoint aSenior Treasury Analyst for their European Shared Service Center in Cork. This is a hybrid role (3 days in office) offering the chance to make a real impact in a dynamic, international environment.
You’ll manage key treasury functions including cash operations, forecasting, FX hedging, and bank account administration. Reporting to the Principal Accounting Officer and working closely with the Senior Treasury Manager, you’ll also contribute to strategic projects such as capital structure planning and global expansion initiatives.
You have a degree in Finance (or related field), 3+ years’ treasury experience in a multinational setting, and strong knowledge of capital markets and risk management. Advanced Excel skills are essential; SAP and Bloomberg experience is a plus. You thrive in fast-paced environments, bring strong analytical skills, and enjoy collaborating across global teams.
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