Senior Treasury Analyst - Cash & FX (9-12 Month)

The Panel

Dublin

On-site

EUR 65,000 - 90,000

Full time

2 days ago
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Job summary

The Panel is seeking a Senior Treasury Analyst for a 9-12 month contract in Dublin City Centre. In this role you will lead daily cash positioning and forecasting across multiple accounts and jurisdictions, ensuring liquidity is managed efficiently and any surplus or shortfall is identified early.

You will oversee intercompany netting activities, support FX settlement processes, and contribute to treasury reporting, systems improvement and transformation initiatives in a fast-paced global

Qualifications

  • Degree-qualified in Finance, Accounting related discipline.
  • Previous treasury operations experience gained within a large corporate environment.
  • Strong working knowledge of treasury processes & systems.
  • Excellent Excel skills, with the ability to analyse data.
  • Highly organised and detail-oriented.
  • Strong problem-solving skills and the ability to prioritise effectively.

Responsibilities

  • Lead daily cash positioning and forecasting across multiple accounts and jurisdictions.
  • Ensure liquidity is managed effectively and any surplus/shortfall is identified early.
  • Oversee intercompany netting activities and support the reconciliation of balances.
  • Manage settlement processes for FX trades.
  • Support the administration, reporting and analysis of financial instruments.
  • Contribute to treasury reporting, systems improvement and transformation initiatives.

Skills

Excel
Data analysis
Treasury processes
Prioritisation
Problem-solving

Education

Finance degree

Tools

Treasury software

Job description

The Panel is seeking a Senior Treasury Analyst for a 9-12 month contract in Dublin City Centre. In this role you will lead daily cash positioning and forecasting across multiple accounts and jurisdictions, ensuring liquidity is managed efficiently and any surplus or shortfall is identified early.

You will oversee intercompany netting activities, support FX settlement processes, and contribute to treasury reporting, systems improvement and transformation initiatives in a fast-paced global

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