My client is looking to hire a highly experienced treasury professional to join their team. This Group Treasury Controller will have responsibility for the treasury function of a global engineering organisation.
This role has oversight of treasury controlling activities both at the Group level and for the Internal Bank.
The role is based in Dublin City Centre. They offer a hybrid working model.
Responsibilities:
Risk Management: Identify, assess, and manage financial risks, including exposure to interest rate and foreign exchange fluctuations.
Strategic Financial Planning: Assist in developing and executing treasury strategies that align with broader business goals.
Financial Controlling: Manage monthly, quarterly, and annual financial closings, contributing to the preparation of annual reports for both the Group and the Internal Bank.
Collaboration: Work closely with colleagues in Treasury, Group Controlling, Tax, Audit, and external auditors to refine treasury processes and foster productive relationships.
Technology Integration: Utilize technology to streamline treasury operations and support digital transformation initiatives.
Requirements:
A Bachelor’s or Master’s degree in Accounting, Finance, Economics, or a related discipline.
Demonstrated experience in a senior treasury control role, preferably within an international organization.
Comprehensive knowledge of financial instruments, hedge accounting, and risk management principles.
Proficiency in treasury management systems and financial modeling tools.
Strong analytical capabilities, coupled with a strategic outlook and keen attention to detail.
Excellent communication and interpersonal skills to effectively engage with stakeholders.
Ability to perform well in a dynamic and multicultural environment.
For more information contact Niamh Cregg
niamh.cregg@collinsmcnicholas.ie
0719149732