Financial Analyst - Treasury
Greater Dublin (Hybrid) · ਪੂਰਾ ਸਮਾਂ
ਅਰਜ਼ੀ ਦੇਣ ਵਾਲੇ ਪਹਿਲੇ ਵਿਅਕਤੀ ਬਣੋ
- ਅਨੁਭਵ
- ਕੋਈ ਵੀ
- ਤਨਖਾਹ
- —
- ਖੁੱਲ੍ਹਣ ਵਾਲੀਆਂ ਥਾਵਾਂ
- 1
- ਪੋਸਟ ਕੀਤਾ ਗਿਆ
- 7 ਘੰਟੇ
- ਕੰਮ ਮੋਡ
- ਹਾਈਬ੍ਰਿਡ
- ਸਿੱਖਿਆ
- NFQ degree level 7 or equivalent
- ਰੈਜ਼ਿਊਮੇ
- ਅਰਜ਼ੀ ਦੇਣ ਲਈ ਲੋੜੀਂਦਾ ਹੈ
ਤੁਸੀਂ ਕਿੱਥੇ ਕੰਮ ਕਰੋਗੇ
ਕੰਮ ਦਾ ਵੇਰਵਾ
About the Role
We are looking for a committed Financial Analyst to join the Treasury Department of a prominent organisation based in Dublin. This role reports directly to the Finance Manager and plays a vital role in both the ongoing operations and strategic growth of the Treasury function. The position balances routine tasks with involvement in transformation projects, requiring excellent prioritisation and delivery in a fast-paced and controlled environment. This opportunity allows meaningful participation in the advancement of a key financial department.
Key Responsibilities
- Develop and document standard operating procedures (SOPs) for treasury functions.
- Assist in creating and updating treasury policies and procedures.
- Identify and implement process enhancements to improve efficiency, controls, and cost-effectiveness.
- Support initiatives such as migrating banking services and assessing impacts from Next Generation Ticketing on treasury workflows.
- Conduct and review bank and revenue reconciliations for specific operators within established timelines.
- Carry out and oversee internal bank transfers.
- Contribute to the design and maintenance of liquidity management frameworks.
- Track and resolve outstanding entries in suspense accounts.
- Investigate discrepancies ensuring timely resolution following service level agreements and control standards.
- Manage regular and project-based communications with financial institutions.
- Answer queries from operators and internal teams with accurate and prompt responses.
- Collaborate with auditors by supplying required treasury-related information.
- Engage in cross-department projects to strengthen financial controls and operational efficiency.
- Balance routine responsibilities with project deadlines during peak periods or organizational change.
- Document issues and resolutions comprehensively to foster continual process and control improvements.
- Lead or assist root cause analyses to address discrepancies and implement enduring fixes.
- Undertake other duties as assigned to support overall organizational needs.
Qualification and Skills Requirements
- Possession of an NFQ level 7 degree in finance, business, or a related field at the time of appointment.
- Being part-qualified or fully qualified as a professional accountant (e.g., ACA, ACCA, CIMA, CPA) or having equivalent relevant experience.
- Experience preparing monthly reports, reconciliations, and working in a controlled financial environment.
- Proficient in MS Office with advanced Microsoft Excel capabilities, including data analysis and handling large dataset reconciliations.
- Demonstrated success in managing multiple priorities under tight schedules and high workloads.
- Experience in contributing to or leading process improvement and change initiatives.
- Strong skills in management and delivery including communication, relationship management, proactivity, and decisiveness.
- Ability to work independently and collaboratively within a team setting.
Preferred Qualifications
- Prior experience in treasury, banking, or cash management functions.
- Experience in public sector or regulated environments.
- Familiarity with financial systems, ERP platforms, or treasury management software.
- Proven history of driving or supporting system implementations or process enhancements.