Barden are delighted to partner with this high growth technology leader to support the creation of a treasury function in their Dublin HQ.
Supporting a highly acquisitive group, you will be the dedicated Treasury Manager responsible for cashflow, debt, interest rate and risk management.
A role with limitless career progression potential and flexible working arrangements.
ABOUT THE ROLE
- Cashflow management – cash flow forecasting, manage intercompany funding and support the funding of acquisitions
- Banking – manage the administration of bank accounts
- Debt management – lender reporting and manage debt facilities
- Interest rate management – interest rate hedging
- Risk management – ensure adherence to policies and mitigate risks
ABOUT THE PERSON
- At least five years’ experience in a corporate treasury function.
- Treasury or accounting qualification advantageous.
- Strong commercial acumen and attention to detail.
- Ability to take initiative and work independently.
Hi, we’re Barden. We’re the Partner Led Talent Advisory & Recruitment Firm that puts Talent first. With practices across Accounting & Tax, Business Support, Financial Services, Legal, Life Sciences, Supply Chain, and Technology, we help build world-class teams for Ireland’s top companies and we help top Talent achieve their ambitions. Simple.