Treasury Operations Specialist: Cash, FX & Payments

Posted 15 hours 37 minutes ago by Davy Group

Permanent
Full Time
Other
Dublin, Dublin, Ireland
Job Description
A leading financial advisory firm in Dublin is looking for a Treasury professional to support cash positioning and liquidity management. The successful candidate will oversee cash requirements, monitor regulatory liquidity needs, and manage FX risk exposures. A relevant degree and strong organizational skills are essential. This role offers competitive remuneration and a flexible, inclusive workplace culture, with opportunities for professional development.