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Elevate Partners in Ireland seeks a senior Treasury & Group Trading Risk Manager for its Group Treasury function. This is a broad, high‑impact role overseeing liquidity, treasury risk, and trading risk within a major Irish organisation.
You will develop and implement policies across FX, IR, inflation, and cash investments, while advising senior leaders on major investment projects and governance improvements.
We are currently partnering with a major Irish organisation to appoint a Treasury & Group Trading Risk Manager into its Group Treasury function.
This is a senior and broad-ranging treasury opportunity, with responsibility for managing liquidity, treasury risk and trading risk, while playing a key role in the continued development of the organisation’s Treasury Risk Management framework.
Working as part of the Group Treasury leadership team, you will:
We’re keen to speak with senior Treasury / Financial Risk professionals who can demonstrate: