An exciting opportunity has arisen to work with a large Irish business to head up their Treasury function. Barden are delighted to be working once again with this well-known business, a global player in their field.
This is a newly created role which has come about due to an increasing importance being placed on Treasury to add value to the wider business.
ABOUT THE ROLE:
Reporting directly to the Group Financial Controller, the Head of Treasury will be responsible for cashflow and working capital management & strategic initiatives, in conjunction with delivering best in its class treasury processes and procedures.
Typical responsibilities include:
– Managing the day-to-day operations of the Treasury function
– Taking on a lead role in establishing a clear strategy for Treasury which aligns with company’s overall objectives
– Continue to build strong relationships with banking institutions while overseeing cash management optimisation initiatives
– Ensuring accurate accounting and reporting of treasury transactions
– Monitoring risk exposure
– Driving policies and processes that ensure compliance with relevant legislation
– Providing detailed meaningful analysis to assist business decisions
ABOUT THE PERSON:
– Bachelor’s degree in accounting, business, management, or finance
– Relevant Corporate treasury experience
– Experience of advising on complex investment and financing decisions
– Strong analytical, presentation and communication skills
– Proven ability to influence at different levels throughout the organization
– Strong Technical Skills
– Ability to work successfully on own initiative in a fast-paced environment
For more information please email me – caroline.frawley@barden.ie
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