Treasury Operations Lead: Securitisation & Cash Flows

AerTalent Ltd.

Dublin

On-site

EUR 90,000 - 120,000

Full time

5 days ago
Be an early applicant
Application generator

Get a reply from this employer — a resume and cover letter tailored to exactly what they’re hiring for.

Get past ATS filters

Job summary

Our Client in Ireland seeks an experienced Treasury Operations Manager to join its Treasury team and support ongoing management of funding and securitisation programmes. The role is highly visible and will closely align with Capital Markets, Finance and external service providers.

The successful candidate will oversee treasury operations including ABS reporting, servicer reporting and monthly waterfalls, ensuring governance and operation of funding structures.

Qualifications

  • Experience in Treasury Operations, Structured Finance, Securitisation, Corporate Treasury or Capital Markets Operations.
  • Strong understanding of debt facilities, ABS structures, cash flow waterfalls, covenant monitoring and liability management.
  • Experience managing third-party service providers and external financing stakeholders.
  • Knowledge of cash management, banking operations and liquidity management.
  • Strong analytical and problem-solving skills with excellent stakeholder management capabilities.

Responsibilities

  • Oversee monthly ABS, warehouse and other facility waterfalls.
  • Manage relationships with corporate service providers.
  • Review and coordinate lender, trustee, banking and regulatory reporting requirements.
  • Monitor facility performance, cash flows and covenant compliance, identifying and escalating potential risks.
  • Perform loan reconciliations and support lender information requests.
  • Monitor daily cash movements and optimise surplus cash balances.
  • Oversee debt-related cash settlements and payments.
  • Review financing documentation, term sheets and transaction cash flows to ensure operational accuracy.
  • Partner with Capital Markets on new financings, refinancings and ongoing programme management.
  • Work closely with Finance to support reporting, reconciliations, audits and funding-related analysis.
  • Maintain treasury policies and procedures and a robust control environment, while driving continuous improvement initiatives.

Skills

Treasury Operations
Structured Finance
Securitisation
Capital Markets
Liability management

Job description

Our Client in Ireland seeks an experienced Treasury Operations Manager to join its Treasury team and support ongoing management of funding and securitisation programmes. The role is highly visible and will closely align with Capital Markets, Finance and external service providers.

The successful candidate will oversee treasury operations including ABS reporting, servicer reporting and monthly waterfalls, ensuring governance and operation of funding structures.

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Treasury Operations Manager (Fixed Term contract)
Treasury Operations Manager (Fixed Term contract)

AerTalent Ltd. • Dublin

On-site
EUR 90,000 - 120,000
VP Treasury - Funding & Structured Finance Leader
VP Treasury - Funding & Structured Finance Leader

Treasurers • Ireland

On-site
EUR 230,000 - 300,000
Senior Treasury & Liquidity Analyst
Senior Treasury & Liquidity Analyst

U.S. Bank • Dublin

On-site
EUR 90,000 - 130,000
VP Treasury - Funding & Capital Markets
VP Treasury - Funding & Capital Markets

Treasurers • Ireland

On-site
EUR 230,000 - 300,000
Senior Treasury Analyst: Liquidity & FX Strategy
Senior Treasury Analyst: Liquidity & FX Strategy

U.S. Bank • Dún Laoghaire-Rathdown

On-site
EUR 90,000 - 150,000
Salary ranges defined
Performance-based incentives
Inclusive benefits
+2
Treasurer
Treasurer

The Panel • Dublin

Hybrid
EUR 90,000 - 120,000
Senior Treasury Analyst — Global Cash & Investments Lead
Senior Treasury Analyst — Global Cash & Investments Lead

Gallagher • Dublin

Hybrid
Confidential
Competitive compensation
Comprehensive benefits programs
Career development opportunities
+1
Global Treasury Analyst: Cash & Banking Ops
Global Treasury Analyst: Cash & Banking Ops

UNAVAILABLE • Dublin

On-site
EUR 45,000 - 65,000
Treasury & Group Trading Risk Manager - Dublin | Hybrid
Treasury & Group Trading Risk Manager - Dublin | Hybrid

Elevate Partners • Leinster

On-site
EUR 120,000 - 180,000
Senior Treasury & Trading Risk Leader
Senior Treasury & Trading Risk Leader

Elevate Partners • Leinster

On-site
EUR 120,000 - 180,000