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Urgent! Treasury Manager - Local Job Opening in Dublin

Treasury Manager



Job description

Job Description

A growing renewables platform is hiring a hands-on Treasury Manager to lead cash, risk and banking activity while helping shape medium/long-term funding for a sizeable development pipeline.

Key responsibilities include:
  • Own short/long-term cash forecasting and group liquidity.
  • Execute FX/interest-rate hedging and monitor counterparty risk.
  • Manage bank account structures, intercompany funding and guarantees/LCs.
  • Drive treasury process automation and MI/reporting.
  • Support financing for projects, M&A, refinancings and JVs.
  • Maintain policy, controls and audit/regulatory compliance.

Requirements:
  • 8–10+ years in corporate treasury/banking/corporate finance.
  • Proven ownership of cash, FX/IR, liquidity and working capital.
  • Comfortable with facility negotiations, covenants and legal docs.
  • Strong modelling/Excel; experience with TMS/banking platforms a plus.
  • Degree in Finance/Business/Accounting; AMCT/Accountancy desirable.
  • Renewables/infrastructure exposure (project finance, PPAs, guarantees) preferred.
To discuss this opportunity in confidence, please contact Diarmuid Clancy via  or apply directly via the link provided. 



Requirements
AMCT


Required Skill Profession

Operations Specialties Managers



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