Morning-Only Treasury Assistant (Part-Time), Dublin
Morning-Only Treasury Assistant (Part-Time), Dublin
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Dublin, Ireland
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Posted: a week ago
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Description
Job Title: Treasury Assistant (Part-Time) Location: Dublin West Our Client Our client is a leading international construction and engineering group with a strong reputation across Ireland, the UK and Europe. Due to continued growth within the finance function, they are seeking to hire a Treasury Assistant to join their Dublin-based Treasury team.
Why should you apply? This is an excellent opportunity for a treasury or finance professional seeking a high-quality part-time position within a well-established and highly regarded organisation.
The role offers strong flexibility with a mornings-only schedule across 5 days, making it an ideal opportunity for candidates seeking improved work-life balance while still working in a commercially focused and fast-paced treasury environment. You will work closely with an experienced Head of Treasury and gain broad exposure across cash management, liquidity planning, treasury reporting and banking operations within a large international group.
Who should apply? This role will suit candidates currently working within treasury, finance operations, banking or accounting environments who are seeking a flexible part-time opportunity.
Requirements
Previous experience within treasury, finance or cash management environments
Strong attention to detail and organisational skills
Experience working with reporting, banking platforms or treasury systems beneficial
Strong Excel and general IT capability
Ability to manage multiple priorities and work to deadlines
Strong communication skills with the ability to work collaboratively across teams
A proactive and hands-on approach
Responsibilities
Cash Management– Prepare daily cash management reporting and liquidity planning activities
Treasury Operations– Support FX trades, investments and account funding activities
Forecasting– Maintain and update direct cash forecasting models across the Group
Reporting– Prepare treasury reporting for senior finance leadership including the CFO and Finance Director
Banking Administration– Support treasury systems and banking portal administration across the finance team
Project Support– Assist with treasury and finance-related projects and process improvements
Stakeholder Support– Work closely with the wider finance team on treasury-related activities
General Treasury Duties– Support ad hoc treasury and operational requirements as needed
Interested in this position? To apply please submit your CV to Conor O'Reilly who is managing this assignment via the link below or to inquire further please contact us directly on 01 529 4200.
#J-18808-Ljbffr
Why should you apply? This is an excellent opportunity for a treasury or finance professional seeking a high-quality part-time position within a well-established and highly regarded organisation.
The role offers strong flexibility with a mornings-only schedule across 5 days, making it an ideal opportunity for candidates seeking improved work-life balance while still working in a commercially focused and fast-paced treasury environment. You will work closely with an experienced Head of Treasury and gain broad exposure across cash management, liquidity planning, treasury reporting and banking operations within a large international group.
Who should apply? This role will suit candidates currently working within treasury, finance operations, banking or accounting environments who are seeking a flexible part-time opportunity.
Requirements
Previous experience within treasury, finance or cash management environments
Strong attention to detail and organisational skills
Experience working with reporting, banking platforms or treasury systems beneficial
Strong Excel and general IT capability
Ability to manage multiple priorities and work to deadlines
Strong communication skills with the ability to work collaboratively across teams
A proactive and hands-on approach
Responsibilities
Cash Management– Prepare daily cash management reporting and liquidity planning activities
Treasury Operations– Support FX trades, investments and account funding activities
Forecasting– Maintain and update direct cash forecasting models across the Group
Reporting– Prepare treasury reporting for senior finance leadership including the CFO and Finance Director
Banking Administration– Support treasury systems and banking portal administration across the finance team
Project Support– Assist with treasury and finance-related projects and process improvements
Stakeholder Support– Work closely with the wider finance team on treasury-related activities
General Treasury Duties– Support ad hoc treasury and operational requirements as needed
Interested in this position? To apply please submit your CV to Conor O'Reilly who is managing this assignment via the link below or to inquire further please contact us directly on 01 529 4200.
#J-18808-Ljbffr
Highlights
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Company nameDarwin Hawkins
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Job positionMorning-Only Treasury Assistant (Part-Time)
More details
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This is a part-time job.
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