Senior Treasury Analyst
Reporting into the Treasury Manager this hire will be an integral part of a Treasury team responsible for all Treasury functions within the bank.
- 5+ years’ Treasury experience with Liquidity risk management experience essential.
- You will provide oversight and assistance to the two analysts who run the front office areas of cash, liquidity & FX.
- Working very closely, and primarily, with Treasury Manager on ILAAP, the Bank’s Liquidity Risk Programme and inputs/assumptions relating to Regulatory reporting (LCR, NSFR etc.).
- You will need to be able to take ownership and drive change, present to Snr Operating Committees including ALCO and ILAAP.
Great opportunity for the right candidate.
Location – South Dublin