Treasury Manager
My client an international company based in Dublin City Centre are recruiting for a new Treasury Manager.
About your new employer
- International Company
- Based in Dublin City Centre
- WFH – 4 days office and 1 day at home
About your new job:
- Oversee daily cash management
- Responsible for documenting the evidence of the effective finance controls
- Update cash flow reports and forecasts
- Prepare and maintain schedules of fee debt
- Accurately allocate payments received
- Bank reconciliations to ensure all transactions are accurately recorded
What skills you need:
- 3+ years in a similar role
- Excellent communication skills.
- Excellent organization skills
- Advanced MS Excel
What’s on offer:
- Salary €60,000
- Benefits – Bonus, Pension, Healthcare
- WFH – 4 days in the office and 1 day from home
What’s next:
- Apply clicking the “Apply Now” button or contact Graham Crone on gcrone@sigmar.ie or 01-4744642 for more details.
Why Apply through Sigmar:
- We will help you manage your job search, help you with your CV and prepare you for interview.
- Give you overview of other positions we are currently working that you may be suitable for.