
Group Treasury Assistant Manager
3 weeks ago
Join to apply for the Group Treasury Assistant Manager role at Uniphar Group
Join to apply for the Group Treasury Assistant Manager role at Uniphar Group
Get AI-powered advice on this job and more exclusive features.
The Role
This role supports the Treasury Manager in managing all aspects of the Group Treasury function including Cash and Debt management, Reporting, Intercompany, Foreign currency, and invoicing discounting. You will also be involved in the implementation of robust operational treasury controls, implementation of Treasury Management system (selection, implementation testing) and work as part of Group Treasury team and wider Group finance team to achieve excellence.
Group Assistant Treasury Manager
Full time permanent role
Citywest office
The Role
This role supports the Treasury Manager in managing all aspects of the Group Treasury function including Cash and Debt management, Reporting, Intercompany, Foreign currency, and invoicing discounting. You will also be involved in the implementation of robust operational treasury controls, implementation of Treasury Management system (selection, implementation testing) and work as part of Group Treasury team and wider Group finance team to achieve excellence.
Main Duties & Responsibilities
- Oversee and support daily treasury operations, including cash forecasting, liquidity requirements collaborating closely with local Finance teams.
- Manage the approval of all payments in line with head office cash forecast, across multiple banking environments.
- Maintain and improve cash forecasting working across three divisions to ensure accuracy and maximise liquidity opportunities.
- Continuously develop monthly Treasury KPI's and reporting
- Review Monthly balance sheet Reconciliations, including Bank accounts, Interest, NRID, ID, Funding, Investments, Deposits, FX.
- Develop, implement, and monitor compliance with effective internal controls and risk management for Group.
- Co-ordinate treasury related audit requests from Group and Bank auditors.
- Support, development and management of the treasury functions across divisional structure.
- Participate in Treasury improvement projects, including implementation of new treasury system, bank rationalisation/optimisation.
- Develop plans and provide support to ensure smooth transition of new acquisitions into Group Treasury processes and controls.
- Manage FX exposure and support FX deals for the wider group. Work with Financial reporting team to meet hedge accounting requirements.
- Coach and support less experienced team members, promoting a continuous learning environment within treasury operations.
- Partner with senior finance leaders and business units to align treasury strategy with broader financial objectives when required
- Support the implementation, and optimization of treasury technology platforms (e.g., TMS)
- 3rd level Qualification in Business/Accounting with at least 5 years of Treasury experience
- High level of computer literacy, proficient in SAP system.
- Ability to work independently, think critically and manage multiple deadlines effectively.
- Excellent communication, interpersonal and presentation skills across all levels of the organisation.
- Experience working cross-functionally and influencing without authority to drive outcomes across teams.
- Positive can-do attitude with a focus on action.
- Pursues a standard of excellence, with strong attention to detail.
- Works well in a team cross functionally.
- Can work on one's own initiative.
- Ability to handle pressure and manage multiple issues simultaneously.
- Builds trusted relationships and fosters a collaborative team culture.
- Thinks beyond the function – aligns treasury initiatives with the wider business strategy and commercial context.
This role will be a Hybrid role between our Citywest office and working remotely. The successful candidate will be required onsite 3/4 days per week and during specific financial dates throughout the year.
Uniphar Background
Uniphar Group is a rapidly expanding diversified healthcare services business with a global footprint and a proud heritage in Ireland. Since Uniphar became a publicly listed company in 2019, the Group has grown organically and through a series of strategic acquisitions, which continue to strengthen Uniphar's international reach. With a workforce of more than 3,000 spread across Ireland, United Kingdom, Mainland Europe, MENA and the USA, Uniphar is a trusted global partner to pharma and medtech manufacturers, working to improve patient access to medicines and treatments around the world.
Uniphar provides outsourced and specialised services to its clients, leveraging the strong relationships with 200+ of the world's best known pharmaco-medical manufacturers across multiple geographies, enabled by our cutting-edge digital technology and our expert teams. Uniphar is organised into three key divisions: Uniphar Supply Chain & Retail, Uniphar Medtech and Uniphar Pharma
Please note that Uniphar is an equal-opportunity employer; we do not discriminate and welcome all responses.
#uniphargroup #unipharjobsSeniority level
- Seniority levelNot Applicable
- Employment typeFull-time
- Job functionFinance and Sales
- IndustriesPharmaceutical Manufacturing
Referrals increase your chances of interviewing at Uniphar Group by 2x
Get notified about new Treasury Assistant jobs in Dublin, County Dublin, Ireland.
Accounts Payable Assistant (Hybrid working)Dublin, County Dublin, Ireland 1 week ago
Finance Assistant – Expenses & Payroll SupportDublin, County Dublin, Ireland 12 hours ago
Dublin, County Dublin, Ireland 5 days ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 2 weeks ago
Dublin 8, County Dublin, Ireland 4 weeks ago
Dublin, County Dublin, Ireland 1 month ago
Dublin, County Dublin, Ireland 1 week ago
Dunboyne, County Meath, Ireland 2 days ago
Dublin, County Dublin, Ireland 5 hours ago
Dublin, County Dublin, Ireland 2 weeks ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 1 week ago
Dublin, County Dublin, Ireland 2 weeks ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin 12, County Dublin, Ireland 2 days ago
Dublin, County Dublin, Ireland 3 days ago
Dublin, County Dublin, Ireland 14 hours ago
Dublin, County Dublin, Ireland 1 week ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 2 weeks ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 2 weeks ago
Dublin, County Dublin, Ireland 3 weeks ago
Dublin, County Dublin, Ireland 6 days ago
Dublin, County Dublin, Ireland 3 months ago
Dublin, County Dublin, Ireland 15 hours ago
We're unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
#J-18808-Ljbffr-
Group Treasury Controller
3 weeks ago
Dublin, Dublin City, Ireland Aspen Pharma Group Full timeOverviewWe're looking for a curious, driven, and adaptable Treasury professional to join our Dublin-based team as we move into the next phase of development. The foundations are in place—now it's time to refine, enhance, and elevate. This role is ideal for someone who's ready to push boundaries, work with purpose, and grow through challenge. You'll be part...
-
Treasury Manager
3 weeks ago
Dublin, Dublin City, Ireland Atlas Copco Group Full timeOverviewTreasury Back Office Manager at Atlas Copco Group – join to apply for this role. As a Treasury Back Office Manager at Atlas Copco Group, your mission is to contribute to the organization's strategic goals by providing exemplary financial solutions to our stakeholders. Your expertise will play a crucial role in maintaining the excellence of our...
-
Manager – Treasury Governance
2 weeks ago
Dublin, Dublin City, Ireland Axa Group Full timeOverviewAXA XL Global Treasury is responsible for the division's banking and cash management, currency, collateral and capital requirements and forms part of the wider Investments function.The role of Manager – Treasury Governance, within the Global Investments team, is a full-time role based in the Dublin office and reports to the Head of Treasury...
-
Manager – Treasury Governance
2 weeks ago
Dublin, Dublin City, Ireland AXA Group Full timeOverviewAXA XL Global Treasury is responsible for the division's banking and cash management, currency, collateral and capital requirements and forms part of the wider Investments function. The role of Manager – Treasury Governance, within the Global Investments team, is a full-time role based in the Dublin office and reports to the Head of Treasury...
-
Treasury Systems Analyst
3 weeks ago
Dublin, Dublin City, Ireland National Treasury Management Agency Full timeRole Profile Job Title: Treasury Systems Analyst Division/Function: Treasury Operations and Reporting Reports to: Treasury Systems Manager Job Family: Operations Career Stream: Business Support Career Zone: Professionals / Specialists Contract: Permanent *** Closing date for applications - 8th September 2025 *** Summary of the Business The National Treasury...
-
Treasury Systems Analyst
3 weeks ago
Dublin, Dublin City, Ireland National Treasury Management Agency Full timeRole ProfileJob Title: Treasury Systems AnalystDivision/Function: Treasury Operations and ReportingReports to: Treasury Systems ManagerJob Family: OperationsCareer Stream: Business SupportCareer Zone: Professionals / SpecialistsContract: PermanentApplication InformationClosing date for applications – 8th September 2025Summary Of The BusinessThe National...
-
Treasury Analyst
2 weeks ago
Dublin, Dublin City, Ireland Inizio Group Full timeThis is an exciting opportunity for an experienced Treasury Analyst to contribute to the success of the Group Treasury function of a fast paced and growing global healthcare services provider that delivers creative go-to-market solutions across the product lifecycle in all therapeutic categories for pharma and biotech companies.Reporting to the Group...
-
Treasury Manager
2 weeks ago
Dublin, Dublin City, Ireland Temu Full timeTemu is an e-commerce platform that connects consumers with millions of merchandise partners, manufacturers and brands with the mission of empowering them to live better lives. Temu is committed to offering affordable products to enable consumers and merchandise partners to fulfill their dreams in an inclusive environment. Temu was founded in Boston,...
-
Treasury Analyst
2 weeks ago
Dublin, Dublin City, Ireland Axis Capital Full timeThis is your opportunity to join AXIS Capital – a trusted global provider of specialty lines insurance and reinsurance.We stand apart for our outstanding client service, intelligent risk taking and superior risk adjusted returns for our shareholders.We also proudly maintain an entrepreneurial, disciplined and ethical corporate culture.As a member of AXIS,...
-
Treasury Manager
2 weeks ago
Dublin, Dublin City, Ireland Atlas Copco Holding Gmbh Full timeAs a Treasury Back Office Manager at Atlas Copco Group, your mission is to contribute to the organization's strategic goals by providing exemplary financial solutions to our stakeholders.Your expertise will play a crucial role in maintaining the excellence of our financial operations as we strive to be recognized as a leader in quality, innovation, and...