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;
- 6 months' financial services experience is essential;
- 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
Following your application for this specific role, Sigmar may contact you regarding other positions that we feel you may be suitable for. If you do not wish to be contacted about other opportunities please let us know. For further information please refer to the Privacy Statement on our website.