Current jobs related to Cash Flow Management Specialist - Dublin, Dublin City - Darwin Hawkins


  • Dublin, Dublin City, Ireland TN Ireland Full time

    As a Senior Accounts Receivable Specialist, you will be responsible for leading and developing the accounts receivable function. This includes ensuring accurate revenue recognition, complete and timely collection of customer receivables, and development of efficient processes and systems.We are seeking a seasoned Revenue Recognition Expert Lead to join our...


  • Dublin, Dublin City, Ireland The Panel Group Full time

    **Job Summary**The Panel Group is seeking a highly skilled Cash Flow Management Expert to join their team in Dublin. As a key member of the finance department, this individual will be responsible for managing daily cash flows, forecasting short-term and long-term liquidity needs, and developing strategies to optimize treasury operations.About The CompanyThe...


  • Dublin, Dublin City, Ireland Primark Stores Limited Full time

    Job OverviewPrimark Stores Limited is seeking a highly skilled Cash Flow Optimization Expert to manage our daily cash management process and enhance short-term cash flow forecasting processes.ResponsibilitiesCollaborate with cross-functional teams to manage cash pooling structures, optimize funding, and minimize overdraft positions.Develop and implement...


  • Dublin, Dublin City, Ireland TN Ireland Full time

    Job DescriptionAn exciting new position has become available for a Credit and Cash Flow Analyst to work with TN Ireland, one of the leading financial institutions in the country. The ideal candidate will have prior experience in credit and cash flow lending, with a strong ability to work in a fast-paced environment.This role would be suited to someone with...


  • Dublin, Dublin City, Ireland The Panel Group Full time

    Cash management: Manage daily cash flows to meet short-term liquidity needs and optimize working capital.Cash forecasting: Collaborate with group finance teams to set up and improve quality of short-term/longer-term cash flow forecasts.Predictive analysis: Forecast payments and anticipate challenges from seasonal cash flows.


  • Dublin, Dublin City, Ireland Oliver James Associates Ltd. Full time

    Key ResponsibilitiesManage end-to-end revenue processes for financial reporting, ensuring precise revenue recognition and timely, accurate financial statements.Develop and implement strategies to boost revenue generation and improve cash flow management.Perform detailed financial analysis, delivering insights that inform commercial and strategic...


  • Dublin, Dublin City, Ireland Oliver James Associates Ltd. Full time

    **The Opportunity:**We are seeking a talented Revenue Finance Manager to join our team at Oliver James Associates Ltd. As a key member of our finance team, you will play a critical role in driving revenue growth and financial success in a rapidly expanding division.The ideal candidate will be a fully qualified accountant with a strong background in finance,...


  • Dublin, Dublin City, Ireland GPC Finance Full time

    About the Role: We are looking for a skilled Credit Controller to join our finance team at GPC Finance. In this role, you will be responsible for managing the Debtors Function, which includes debt collection, invoicing, and account reconciliation. As a key member of our team, you will: Manage debt collections and ensure timely payments. Analyse debtor...


  • Dublin, Dublin City, Ireland Andsimple Full time

    Key ResponsibilitiesThe Global Treasury Director at Andsimple will be responsible for managing daily cash positioning, including cash pooling and cash concentration activities. Additionally, this role involves identifying, assessing, and monitoring treasury-related risks, including interest rate risk, FX risk, and counterparty risk.


  • Dublin, Dublin City, Ireland Aig Full time

    Key ResponsibilitiesAs a Senior Cash Manager, you will be responsible for overseeing the day-to-day management of the company's cash position. This includes managing cash flows, forecasting, and optimizing cash balances to minimize costs and maximize returns.You will work closely with the Cash Management team to develop and implement cash management...

  • Global Cash Manager

    1 week ago


    Dublin, Dublin City, Ireland Primark Stores Limited Full time

    About the PositionPrimark Stores Limited is seeking an experienced Global Cash Manager to oversee our company's global cash management processes, focusing on optimizing cash flows and minimizing risks.Key ResponsibilitiesCollaborate with cross-functional teams to develop and implement effective cash management strategies.Monitor and analyze cash flow trends,...


  • Dublin, Dublin City, Ireland Tn Ireland Full time

    Cash Management RoleWe are seeking a highly skilled Cash Management Specialist to join our team. As a key member of the organization, you will be responsible for managing daily cash management, including making timely payments to customers and suppliers.You will also prepare and submit cash management reports on a monthly, quarterly, and annual basis, and...


  • Dublin, Dublin City, Ireland SHEIN Full time

    A Cash Management Expert is needed to join our team at SHEIN, a global fashion and lifestyle retailer.The ideal candidate will have experience in cash management, financial analysis, operations, and reporting, with a strong understanding of financial principles and practices.Key Responsibilities:Cash Management: Monitor daily cash positions, ensure adequate...


  • Dublin, Dublin City, Ireland Hireio, Inc. Full time

    About the RoleHireio, Inc. is looking for a Cash Management Director to oversee the company's daily cash operations.The successful candidate will be responsible for managing cash flow, making timely payments to customers and suppliers, and maintaining effective banking relationships.The ideal candidate will have a strong background in finance, with...

  • Treasury Manager

    7 days ago


    Dublin, Dublin City, Ireland The Panel Group Full time

    We are looking for a highly skilled Treasury Manager to lead our cash and funding strategy. The ideal candidate will have a strong background in corporate treasury, with a minimum of 8 years' experience in a similar role. As part of our team, you will be responsible for developing and implementing effective cash management strategies, working closely with...

  • Global Cash Manager

    5 days ago


    Dublin, Dublin City, Ireland American International Group, Inc. Full time

    About This Opportunity:AIG's Dublin Treasury team is looking for an experienced Cash Management Senior Analyst to join our team. The successful candidate will be responsible for managing cash flows, optimizing investment strategies, and maintaining relationships with global banking partners.Manage cash position reports, generate forecasts, and perform target...


  • Dublin, Dublin City, Ireland Ornua Foods Full time

    Cash and Liquidity Management is a critical function within Ornua Foods, requiring meticulous attention to detail and strategic thinking.The Treasury Operations Manager will be responsible for managing the interface between the front and back offices in the Treasury department, working closely with the Group Treasurer and Assistant Group Treasurer.This role...


  • Dublin, Dublin City, Ireland TN Ireland Full time

    TN Ireland is seeking a skilled Cash Collections Specialist to join its team in Dublin, Ireland. As a Cash Collections Specialist, you will be responsible for monitoring overdue accounts, following up with customers for payment, and executing the cash collection process to ensure timely collection of all overdue outstanding receivables.About the Team:The...


  • Dublin, Dublin City, Ireland The Panel Group Full time

    We are seeking an experienced Treasury Analyst to join our Corporate Treasury team at The Panel Group.Key Tasks:Manage daily cash flows, including foreign exchange dealings and investments.Develop and implement cash flow forecasting models.Provide guidance on risk management strategies and best practices.Your Qualifications:Degree in finance, accounting or a...

  • Global Cash Manager

    4 weeks ago


    Dublin, Dublin City, Ireland The Panel Full time

    Partner at The Panel / Strategic Recruitment Partner for Banking and Treasury SuccessAn exciting opportunity has arisen for a Global Cash Manager to join a leading multinational corporation. This role is pivotal in enhancing cash management structures and ensuring optimal visibility and accessibility of cash balances worldwide. You will be part of the global...

Cash Flow Management Specialist

2 weeks ago


Dublin, Dublin City, Ireland Darwin Hawkins Full time
Role Summary

We are seeking a skilled Finance Manager to join our team at Darwin Hawkins.

The successful candidate will have a proven track record of managing financial operations, regulatory compliance, and reporting.

  • 5+ years of experience in a finance role, particularly managing sub-contractor payments and accounts.
  • Strong knowledge of sub-contractor payments, cash flow management, and compliance.
Responsibilities

The Finance Manager will be responsible for:

  • Overseeing financial operations, including sub-contractor payments and accounts management.
  • Ensuring compliance with regulatory returns (VAT, RCT, PAYE, etc.).
  • Managing cash flow, reconciliations, and financial reporting.