Average salary: €72,242 /yearly
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€50k - €60k per annum
...A high-performing finance team in Dublin is hiring a Treasury Analyst to take responsibility for lender reporting, facility compliance and structured cashflow processes across a portfolio of funding structures. This is a great fit for someone comfortable interpreting legal...Suggested£60k - £70k per annum
Advert Details: At Panda, cash is what keeps our operations moving, literally. As a Treasury Analyst, you’ll play a vital role in protecting liquidity and providing clear, accurate cash visibility across a complex, fast-moving waste and recycling business operating across the...SuggestedPermanent employment- ...Our Client, a global life sciences organisation based in Sandyford, Dublin is seeking an experienced Treasury Analyst to join their finance team on a 9-month contract, with the possibility of extension. This is a hands-on operational treasury role , working closely...SuggestedContract workFixed term contractHybrid work
€84k per annum
...Location: Dublin, Dublin Type: Permanent Job #48608 Salary: €84,000 Senior Treasury Analyst We are currently working with a client that is looking to recruit a Senior Treasury Analyst. Responsibility of role overseeing daily cash management activities across...SuggestedPermanent employmentFlexible hours- ...A leading Irish company is seeking to hire a SENIOR TREASURY ANALYST to join its expanding team at its headquarters in Shannon, Co. Clare. This company has built its reputation on a culture of quality, service and innovation for over three decades. Working with this well-established...SuggestedLong term contractFull time
- ...VAT review work). Ensure financial processes meet evolving FinTech regulatory and audit expectations. 5. Financial Operations & Treasury Provide leadership across AP, AR, payroll, intercompany processes, and cash management, reflecting themes in the current Finance Manager...SuggestedWork at officeRemote workFlexible hours
- ...PSC Biotech is hiring a Treasury Manager in Dublin. Reporting to the Senior Treasury Manager, the Treasury Manager will be responsible for critical support for Treasury Operations, Cash Management and FX functions in Ireland and the United States. This role will require...SuggestedContract workTemporary workHybrid workRemote work
- ...Administration business. This role oversees all aspects of client billing, collections, and reconciliation of fund administration and treasury revenue, ensuring accuracy, compliance, and strong client service. The AR Lead partners closely with Client Services, Lines of...SuggestedFull timeHybrid workWorldwide
- ...for Group Companies. Preparation of supplier reconciliations. Review of group aged creditors. Prepare and distribute weekly treasury reports in accordance with internal deadlines . Assisting in the annual audit process, preparing necessary analysis and answering...SuggestedFull timeWorldwide
- ...banking relationships. Participate in the development and execution of investment strategies and related Asset Liability Management/Treasury frameworks and policies. Support the CEO with analysis of financial information and ad hoc reporting to support new business...SuggestedLong term contractTemporary work
- ...budgets, forecasts and 3 year rolling business plans Management and development of the finance team Managing Cashflow, Banking and treasury Oversee AP, AR & Payroll functions Provide support to the Directors to enable strategic decision making Ensure organisation...SuggestedPermanent employment
€70k per annum
...Your new company Join a leading global organisation with a dedicated Treasury Centre based in Dublin. This specialist hub manages financial risk, liquidity, and treasury operations for a diverse international group. Operating within a highly skilled team of treasury professionals...SuggestedPermanent employmentContract workCity centreWork at office- ...financial headquarters centralised in Dublin and are implementing a new TMS system in the coming year that will further streamline the treasury and cash management processes. They are seeking to expand their team with a newly created role to oversee treasury and cash movement....SuggestedPermanent employmentContract workCity centreHybrid workWork at officeWork visa
€70k - €82k per annum
...will then rotate across three areas, where you will have hands-on experience working across CCB business functions (i.e. credit risk, treasury and trade solutions, client coverage) Offering support in Credit Approvals (for new-to-bank and existing clients), utilizing...SuggestedFull timeImmediate start- ...strategy · Ensure strong value‑for‑money assessment across programmes, investments, and operations, both overseas and in Ireland Treasury & Cash Management · Oversee treasury and cash‑flow management, including foreign exchange exposure · Manage banking, insurance,...SuggestedFull timeHybrid workWork at officeLocal areaOverseas2 days week3 days week
- ...processes, including credit, cash, and insurance risks. Management and development of the finance team Managing Cashflow, Banking and treasury Ensure organisation is compliant with Taxation and Statutory obligations Manage Year-end Audit and interaction with auditors...Permanent employment
- ...directors Completion of annual budgets & forecasts Management and development of the finance team Managing Cashflow, Banking and treasury, VIES, Intrastat returns Oversee AP, AR & Payroll team Ensure organisation is compliant with Taxation and Statutory obligations...Contract workInterim role
- ...Ownership of planning, forecasting, budgeting for the business Managing the day-to-day finance function Managing Cashflow, Banking and treasury Management and development of the finance team Oversight of payroll, sales, and Accounts payable Ensure organisation is...Permanent employment
- ...forecasting and financial modelling Enhance finance systems, controls and processes (Dynamics 365 exposure beneficial) Oversee treasury operations and banking relationships Partner with commercial, property, energy and investment teams on financial matters Manage...Permanent employment
- ...to the development of the Audit financial services practice within the Irish market, specifically within the area of banking audit, treasury audit. Support our banking and treasury advisory services growth agenda. Maintain strong client relations and cross-sell services...Permanent employmentTraineeship
- ...will give you the opportunity to learn all aspects of the business and you will complete three rotations of 8 months: Rotation 1: Treasury Rotation 2: Corporate Accounting Rotation 3: Finance Regulatory Reporting From day one, you’ll make meaningful contributions...Full timeContract workFixed term contractHybrid workWork at officeLocal areaRemote workFlexible hours3 days week
- ...directors Completion of annual budgets & forecasts Management and development of the finance team Managing Cashflow, Banking and treasury, VIES, Intrastat returns Oversee AP, AR & Payroll team Ensure organisation is compliant with Taxation and Statutory obligations...Permanent employment
- ...Responsibilities: ~Ensure a timely month-end close and maintain accurate financial records through detailed review and analysis. ~Oversee treasury management to optimise cash flow, liquidity, and financial risk controls. ~Lead cross-functional collaboration to ensure financial...Permanent employmentHybrid workFlexible hours
- ...audit and year end completion Co-ordinate annual budget & forecasts that align with key strategic objectives ~ Cash Flow & Treasury Management Ownership for all aspects of Internal Controls, Regulatory Compliance and Balance Sheet reviews Identify opportunities...Permanent employmentWork at office
- ...accountancy qualification. It will involve a rotation throughout the Finance team gaining exposure in all areas including Investment, Treasury and Banking, Tax, Statutory Accounting, Financial and Management Accounting. There is a robust training plan including sponsorship of...Permanent employmentHybrid work
€85.6k - €128.4k per annum
...the first foreign banks to open an office in the country and is the Citibank Europe Plc Headquarters. Team/Role Overview: Treasury and Trade Solutions (TTS) is a market leading, award-winning provider of cash management, cards and trade, solutions to financial institutions...Full timeCasual workHybrid workWork at officeLocal areaWork from home- ...difference. Purpose of position: Reporting to the Chief Executive, the Financial Controller will lead and manage the finance, treasury and risk activities of the Western Development Commission (WDC). This person will lead the shared Corporate Services function...Full timeContract workTemporary workFixed term contractWork at officeRemote work
- ...senior advisor to the executive team on tax impacts of strategic initiatives (market entries, reorganizations, IP migration, financing, treasury, and operating models). Optimise our corporate structure to manage effective tax rates while supporting multi-country operations....Remote workWorldwideFlexible hours
- ...· Support balance sheet substantiation process · Responsible for cashflow management, including daily funding, drawing from Treasury, cash management of customer collections and sweeping to structured finance deals · Own bi-monthly VAT returns and support annual...Contract workLocal area
€86k - €119k per annum
...including return-to-provision calculations, payable proofs, cash tax forecasts, and other projects Liaise with Statutory Reporting, Treasury, Accounting, Legal, Payroll, and other teams for completion of duties Automate and streamline our tax reporting and compliance...Local areaWorldwide2 days week1 day week
