Treasury & Group Trading Risk Manager - Dublin | Hybrid

Elevate Partners

Leinster

On-site

EUR 120,000 - 180,000

Full time

14 days+
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Job summary

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.

Qualifications

  • Qualified Accountant and/or CFA qualification with 10+ years’ post-qualified experience.
  • Strong Treasury or Banking experience with a financial risk management focus.
  • Excellent understanding of liquidity, FX, interest rate and financial risk management.
  • Experience operating in complex, large-scale organisations or infrastructure environments.
  • Strong leadership and senior stakeholder management capabilities.

Responsibilities

  • Lead development and enhancement of Treasury Risk Management policies across FX, interest rate, inflation and cash investment risk.
  • Manage group liquidity, cash investment, trade finance and banking relationships.
  • Identify and manage FX, interest rate and inflation exposures, including hedging strategies.
  • Provide treasury and financial risk advice to senior stakeholders on major investment projects.
  • Oversee energy trading risk exposure and support the Group Trading Risk Management Framework.
  • Drive improvements across treasury technology, governance and reporting.
  • Contribute to the wider strategic direction of the Treasury function.

Skills

CA / CFA qualification
Treasury / Banking experience
Liquidity management
FX / IR / Inflation risk
Leadership / Stakeholder mgmt

Education

Chartered Accountant (CA) or equivalent
CFA designation

Job description

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.

The Role

Working as part of the Group Treasury leadership team, you will:

  • Lead the development and enhancement of Treasury Risk Management policies across FX, interest rate, inflation and cash investment risk
  • Manage group liquidity, cash investment, trade finance and banking relationships
  • Identify and manage FX, interest rate and inflation exposures, including the execution of appropriate hedging strategies
  • Provide treasury and financial risk advice to senior stakeholders on major investment projects
  • Oversee energy trading risk exposure and support the continued development of the Group Trading Risk Management Framework
  • Drive improvements across treasury technology, governance and reporting
  • Contribute to the wider strategic direction of the Treasury function
The Person

We’re keen to speak with senior Treasury / Financial Risk professionals who can demonstrate:

  • Qualified Accountant and/or CFA qualification with 10+ years’ post-qualified experience
  • Strong Treasury or Banking experience with a financial risk management focus
  • Excellent understanding of liquidity, FX, interest rate and financial risk management
  • Experience operating in complex, large-scale organisations or infrastructure environments
  • Strong leadership and senior stakeholder management capabilities
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