Here at Barden, we are excited to be partnering exclusively with an impressive business to identify a Finance Manager with a primary focus on treasury activities. This role has emerged due to the company’s ongoing expansion. Reporting directly to the Finance Director, this person will be responsible for the businesses’ cashflow management and forecasting process.
This is a high-profile role which will give lots of exposure across the business. The ideal candidate will be a strong communicator, be passionate about partnering with business stakeholders, and have the initiative to drive processes forward.
There is a superb culture within the Finance team, work life balance and flexibility are promoted, and there is real potential to build a future in a forward looking, progressive organisation.
For more details about this opportunity, please contact me (caroline.frawley@barden.ie) or Marissa Maher (marissa.maher@barden.ie).
ABOUT THE ROLE
• Responsible for timely and accurate monthly treasury reporting, delivering key insights and analysis to assist business performance
• Take on a lead role in the end-to-end cashflow forecasting process
• Develop a deep understanding of the business’s surety requirements and obligations
• Build strong relationships with stakeholders across the group, including FP&A, Legal and Procurement
• Play an active role in driving continuous improvement initiatives with a particular focus on enhancing financial models and reporting tools
• Participate in Group projects as required.
ABOUT THE PERSON
• Qualified accountant with 5+ years post qualified experience or relevant corporate treasury experience.
• Excellent communicator with proven influencing skills across all levels.
• Strong commercial acumen.
• Strong written and verbal communication skills.
• Motivated self-starter who enjoys working as part of a team.