Treasury Operations Analyst – 12 Months FTC
A highly reputable financial leasing organisation is looking for a bright Business, Accountancy or Finance graduate to join their Treasury Operations.
As a Treasury Operations and Cash Management Analyst you will be responsible for:
- Treasury Daily Funding forecasting for Centralisation Project
- External bank limit approval and reporting
- Payment System Administration
- Relationship Management
- Relevant Finance/Mathematical/Business degree;
- Good Excel skills;
- Excellent communicator;
- Must hold a valid EU passport or a minimum of a Stamp 4 visa;
APPLY NOW or send your CV directly to NKatiliute@sigmar.ie
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