My client, a leading global alternative investments organisation is seeking a Treasury Manager for their central Dublin office. The successful candidate will report directly to the Treasury Vice President of European Fund Administration.
Key Responsibilities
- Review deal settlement payments, vendor payments and working with external corporate servicers on payment processing and new vendor onboarding reviews.
- Manage bank account opening and closings as well as KYC onboarding requirements.
- Cash Management reporting.
- Identifying and implementing improvements to management in systems and controls around the treasury function.
Requirements for the role
- 5+ years experience in a treasury team of a financial services organisation
- Vendor management experience
- Implementation and maintenance of strong treasury controls
Competitive base salary and benefits package and the opportunity to work with a well-established and progressive company.
If you are interested in this role, please forward your CV today to Genevieve at ggomes@sigmar.ie for consideration.
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