About Your New Employer
Treasury Manager role with a Dublin city business in the Energy sector. (Hybrid Working)
About Your New Job
- Responsible for overseeing the day to day operations of the treasury function ensuring effective management of cashflow, liquidity, financial risk.
- Manage and monitor daily cashflow and forecasting to ensure the company meets its financial obligations.
- Own and report the core liquidity KPI’s to management and shareholders. Ensure the underlying models reflect the latest market conditions.
- Develop and maintain treasury policies and procedures to ensure robust controls and efficient operations.
What You Need
- 4+ years’ experience in a treasury function of a relevant, comparable company
- Modelling skills particularly focussed on cashflow scenarios.
- Experience with Python, MATLAB or similar.
- Unrestricted work rights in Ireland (sponsorship not on offer).
What’s on Offer
- €60,000 + 20% Bonus & Benefits.
- Strong career progression in a growing company.
What’s Next
- Apply now by clicking the “Apply Now" button or get in touch with me, Ben Ryan at bryan@sigmar.ie for more details.
- Or if the job isn’t quite right but you are looking for something similar, please get in touch.
Why Apply Through Sigmar?
- We’ll help manage your job hunt, strengthen your interview skills and tidy up your CV
- We’ll provide you with an overview of the jobs market within your industry and help you tailor your jobs search
- Gain access to exclusive roles that are not advertised elsewhere