Treasury Manager – Irish High Growth – Hybrid

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Treasury Manager – Limerick or Cork

We are delighted to be exclusively supporting a growing, Irish-headquartered business, expanding internationally and building out its debt and funding capacity to support its next stage of growth.

ABOUT THE ROLE

This is a newly created Treasury Manager role, reporting directly to the Group FD. This is a hands-on, operationally focused position covering banking relationships, working capital, and debt and bonding facilities – with real scope to grow as the business scales.

RESPONSIBILITIES

  • Manage banking relationships and lender engagement across a multi-bank syndicate
  • Own debt facilities and bonding/guarantee instruments, including covenant compliance
  • Lead on working capital and cash flow visibility
  • Act as main point of contact for banking partners on performance updates

ABOUT YOU

  • 10+ years’ treasury experience in a multinational or project-driven environment
  • Strong hands-on experience with banking, cash/liquidity management, and forecasting
  • Experience with bonding, guarantees, or similar instruments

If this sounds like a fit, I’d love to hear from you – contact me, aideen.murphy@barden.ie.

Apply Now for Treasury Manager – Irish High Growth – Hybrid

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