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Treasury

Job description

About Your New Employer:

Your new employer offers investment solutions and services and retirement expertise to more than 2.56 million customers globally. . They are a privately-held, purpose-driven company with a 50-year heritage, they think generationally and invest for the long term. 

About Your New Role:

  • Funding transactional activity and investing excess cash.
  • Consolidated group cash forecasting
  • Drive automation and process improvement across the Treasury Operations function
  • Cash and settlement liquidity management, monitoring cashflow and reconciling balances.
  • Support Treasury projects and initiatives.

What's In It For You:

  • Career progression opportunities.
  • Hybrid Working Model
  • Competitve Salary + 10% bonus

Requirements:

  • Motivation to grow and develop in Treasury
  • Relevant tertiary qualification in Treasury / Finance / Accounting
  • Experience in Treasury, Finance, Accounting or Risk Management (desired)

Next Steps:

Call me Harry on (01) 474 4649, click apply now, message me on LinkedIn or email me on hharrison@sigmar.ie

Why Apply Through Sigmar:

  • We help you find the role best suited to you.
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  • Access to roles exclusive to us that are only advertised by us.

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