Current jobs related to Treasury Finance Director - Dublin, Dublin City - ACCA Careers
-
Treasury Director
5 days ago
Dublin, Dublin City, Ireland TN Ireland Full timeWe have partnered with a prestigious Aircraft Leasing platform to appoint a Treasury Manager/Director to its front office team in Dublin.THE ROLE:Origination, structuring and negotiation of debt transactionsCash forecasting and management of liquidity position - investment / deposit strategy / cash positionImplementation of group hedging strategy from...
-
Treasury Director
5 days ago
Dublin, Dublin City, Ireland TN Ireland Full timeAbout the Role:At TN Ireland, we are seeking a skilled Corporate Finance professional to join our team as a Treasury Director. This is an exciting opportunity to work with a prestigious Aircraft Leasing platform and contribute to its growth.Key Responsibilities:Originate, structure and negotiate debt transactions to drive business growthCash forecasting and...
-
Director of Treasury
3 days ago
Dublin, Dublin City, Ireland TN Ireland Full timeExcellent opportunity for a commercially minded senior treasury professional to join a global MNC as Director of Treasury.Exciting opportunity for a treasury professional with 5+ years post qualification experience in industry to become part of an Irish company with global operations. The Director of Treasury will have 4 direct reports: AP Manager, AR...
-
Treasury Expert
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeRole OverviewAs a Treasury Specialist at GPC Finance, you will play a pivotal role in supporting the Payments Team Lead. Your primary responsibility will be to ensure timely and accurate processing of vendor payments, payroll payments, and manual payments.The ideal candidate will possess 2+ years of experience in payments/treasury roles within medium to...
-
Treasury Analyst
2 days ago
Dublin, Dublin City, Ireland TN Ireland Full timeWe are delighted to be growing our experienced finance team with the addition of an experienced Treasury Analyst. Reporting to the Head of Treasury, the role is based in our new location in Citywest.The ideal candidate will have 2+ years Treasury experience.You will be:Preparing Daily Cash Management Reporting, this includes planning and executing...
-
Treasury Specialist
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeGPC Finance are working with a reputable Tier 1 Contractor in Dublin. They require an experienced Treasury Specialist to join their growing team, reporting to the Payments Team Lead.You will be:1. Processing vendor payments, payroll payments and manual payments accurately and in a timely manner.2. Maintaining standing orders and direct debits, bank access...
-
Treasury Analyst
5 days ago
Dublin, Dublin City, Ireland The Panel Group Full timeAn exciting opportunity has arisen for aTreasury Analystto join a dynamic treasury team based in Dublin 6. This role is ideal for individuals with a strong background in corporate treasury, looking to develop their career within a large European Corporate. The position is part of a small, dyamic team and you wil report directly to the Treasury Director. The...
-
Treasury Specialist
3 weeks ago
Dublin, Dublin City, Ireland GPC Finance Full timeGPC Finance are working with a reputable Tier 1 Contractor in Dublin. They require an experienced Treasury Specialist to join their growing team, reporting to the Payments Team Lead.You will be:Processing vendor payments, payroll payments and manual payments accurately and in timely manner.Maintaining of standing orders and direct debits, bank access...
-
Treasury Specialist
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeGPC Finance are working with a reputable Tier 1 Contractor in Dublin. They require an experienced Treasury Specialist to join their growing team, reporting to the Payments Team Lead.You will be:Processing vendor payments, payroll payments and manual payments accurately and in a timely manner.Maintaining standing orders and direct debits, bank access...
-
Director of Treasury Optimization
7 days ago
Dublin, Dublin City, Ireland Andsimple Full timeAbout the Role:We are looking for a talented Treasury Director to join our team at Andsimple. As a key member of our finance department, you will be responsible for driving our cash management strategy and ensuring that we have sufficient funds to meet our operational needs.Key Responsibilities:Develop and implement strategies to optimize cash flow,...
-
Controller and Head of Finance
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeWe are seeking an experienced Finance Manager to lead the day-to-day running of the finance function.Key ResponsibilitiesCollaborating with the Finance Director to manage the finance function.Closing out month-end procedures, including transaction posting and reconciliations.Preparing monthly management accounts and conducting variance analysis against...
-
Senior Finance Professional
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeAn exciting opportunity has arisen for a Finance Manager to join our client's strong finance team.Key ResponsibilitiesWorking closely with the Finance Director to manage the overall finance function.Closing out month-end procedures, including transaction posting and reconciliations.Preparing monthly management accounts and conducting variance analysis...
-
Treasury Expert
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeJob OverviewGPC Finance is collaborating with a renowned Tier 1 Contractor in Dublin. They require an experienced Treasury Specialist to join their expanding team, reporting to the Payments Team Lead.You will be responsible for accurately and efficiently processing vendor payments, payroll payments, and manual payments.Key ResponsibilitiesMaintaining...
-
Treasury Finance Expert
7 days ago
Dublin, Dublin City, Ireland The Panel Group Full time**About The Panel Group**The Panel Group is a leading global player in the fintech industry.We are now seeking a Treasury Finance Expert to join our Dublin-based Corporate Treasury team.About the Role:Perform daily cash management, including FX dealing and investment of surplus corporate funds.Assist with the development of daily/weekly cash flow forecasts...
-
Corporate Treasury Specialist
5 days ago
Dublin, Dublin City, Ireland The Panel Group Full timeTreasury Analyst RoleWe are seeking a skilled Treasury Analyst to join our corporate treasury team in Dublin 6. As a key member of the team, you will be responsible for daily cash pooling, intercompany funding management, and funding of corporate transactions.About the Job:You will work closely with the Treasury Director and other departments to ensure...
-
Treasury Management Professional
5 days ago
Dublin, Dublin City, Ireland The Panel Group Full timeAbout The Panel GroupThe Panel Group is a leading European Corporate with a strong focus on corporate treasury. Our dynamic treasury team based in Dublin 6 is seeking a skilled Treasury Analyst to join our ranks.This exciting opportunity is ideal for individuals with a strong background in corporate treasury, looking to develop their career within a large...
-
Global Treasury Executive
5 days ago
Dublin, Dublin City, Ireland The Panel Group Full timeTreasury Executive OpportunityWe are seeking an experienced Treasury Analyst to join our corporate treasury team in Dublin 6. As a key member of the team, you will be responsible for managing complex treasury functions, including cash flow management, risk assessment, and financial planning.About the Position:You will work closely with the Treasury Director...
-
Treasury Analyst
5 days ago
Dublin, Dublin City, Ireland John Sisk And Son Full timeTreasury Analyst We are delighted to be growing our experienced finance team with the addition of an experienced Treasury Analyst.Reporting to the Head of Treasury, the role is based in our new location in Citywest.The ideal candidate will have 2+ years Treasury experience.You will be: Preparing Daily Cash Management Reporting, this includes planning and...
-
Treasury Management Professional
5 days ago
Dublin, Dublin City, Ireland TN Ireland Full timeTN Ireland is seeking an experienced Treasury Analyst to join our growing finance team. This role reports directly to the Head of Treasury and is based in our Citywest location.The ideal candidate will possess 2+ years of treasury experience.About Your RoleThis role involves preparing daily cash management reports, including planning and executing...
-
Finance Manager
2 days ago
Dublin, Dublin City, Ireland GPC Finance Full timeOur client is a well-established engineering company with offices across the country, but its head office is based in Galway. Due to their continued success, they are currently seeking a Finance Manager to bolster their strong finance team. The successful Finance Manager will report directly to the Financial Controller and will be responsible for the...
Treasury Finance Director
1 week ago
Treasury Finance Director
Our ACCA Careers teams are at the heart of what we do. Surrounded by some of the best Finance specialists in the industry, you'll bring your own ideas to shape the experience of our customers as part of a forward-thinking team.
We're looking for an experienced and enthusiastic Treasury Risk Manager with initiative, drive, and ambition to join our Primark Treasury team. In this role, you will lead the establishment of the Treasury Risk Management function, support and partner with the business, and be responsible for financial markets insight.
Treasury's Purpose
Treasury is crucial to protecting and creating value for Primark, both through direct risk management and advising stakeholders in the business. This role is instrumental in how Treasury directly manages risk and delivers risk management support and direction to Primark. The key to success will be understanding our business models and unique risks, applying knowledge to create risk management strategies and solutions.
Risk Management Activities
- Lead on establishing the Treasury Risk Management function, providing a consolidated view of financial exposures.
- Develop hedging strategies across currency, commodity, and rates risk.
- Support Liquidity risk management and working capital initiatives.
- Share best practices through direct business partnering and presentations.
Business Partnering
You will provide objective views on governance structures and implement best practice. Work closely with ABF Group Treasury on risk management activities, reporting, and policy compliance.
Financial Markets Insight
- Accountable for internal market reporting for currencies, commodities, rates, and credit risk.
- Educate stakeholders on Treasury inputs for financial budget, forecast, long-term planning, and ad-hoc reporting purposes.
- Engage with relationship banking groups on market insights and developing risk management products.
Governance, Controls & Reporting
- Annual review of policies and its communication across the business.
- Lead periodic Primark Treasury Risk Management Committee meetings and report treasury activities.
- Manage the Treasury Risk Register and develop relevant KPI/KRI reporting.
Technology
- Identify and implement appropriate technology risk management solutions.
- Support in scoping/business requirements for a Treasury Management System covering risk management activities.
Requirements
To succeed in this role, you will need:
- Treasury or Finance qualification (e.g., ACCA).
- 5-7+ years' Treasury experience.
- Understanding of accounting standards related to Treasury (IFRS9).
- Strategic thinking, commercial awareness, and ability to identify and drive change.
- Excellent planning, organisation skills, and attention to detail.
- Strong interpersonal and communication skills to influence and manage stakeholders.