
Our client, a global asset management company, is seeking a Senior Treasury Analyst to join their Global Treasury team. This role offers an exciting opportunity to contribute to the development of a global treasury platform at a leading investment firm. You will managing daily treasury operations, improving efficiencies, and ensuring seamless execution across diverse investment platforms. If you are someone who will thrive in a fast-paced, detail-oriented environment and have a collaborative mindset to build relationships across teams, then this job is for you.
The Job
- Manage cash positions and execute payments
- Oversee collateral movements
- Collaborate with internal teams and external partners to resolve Treasury-related issues
- Ensure the smooth running of daily operations
- Support deal funding cycles, including settlements and liquidity management
- Contribute to the development and implementation of operational improvements and efficiencies within the treasury function
- Ensure compliance with fraud prevention measures and operational risk controls.
The Candidate
- Bachelor’s degree in finance or related discipline
- Additional professional qualification preferred
- Min 3 years' experience in treasury
- Experience within alternative asset management advantageous
- Familiarity with corporate bonds, loans, asset-backed securities and equities
- Understanding of credit strategies
- High attention to detail
- Strong communication and problem-solving skills, with the ability to perform well under pressure in a fast-moving environment.
- Experience with treasury systems
Location: Dublin
Ref: 50814
If you are interested in this role please contact Alan Bluett at alanb@thepanel.com