
Corporate Treasury Assistant Manager, Manager
EY
full-time
Posted on:
Location Type: Hybrid
Location: Dublin • Ireland
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About the role
- Deliver consultative Treasury assurance and advisory services
- Drive growth by developing new and existing client relationships
- Deliver customer experience on high-profile engagements
- Systems implementation support and maturity assessments
- Improve projects, controls, and governance reviews
- Cash flow forecasting, management, and optimisation
- Financial due diligence support
- Act as a coach and point of contact on technical issues for team members
- Provide subject matter expertise to clients on industry best practices and emerging trends
- People and performance management, coaching junior colleagues throughout the performance year
- Establish, maintain, and strengthen internal and external relationships and networks
- Set, control and manage budgets and projects internally and externally
- Prepare and scope drafts of work for internal and external clients
Requirements
- Fully qualified chartered accountant e.g. ACCA, ACA, CA, CPA, ICAS, or international equivalent, with professional external audit experience;
- Hold a Treasury qualification (ACT, AMCT, CFA) and have experience working in a Corporate Finance or Treasury role;
- Degree level education or international equivalent (preferably in an Accounting/Finance/Economics/Maths related subject) with professional experience working in Corporate Treasury or with a treasury or financial risk system software or at a treasury vendor
- Strong analytical and problem-solving skills
- Excellent written and verbal communication skills as you will be presenting and talking to clients both internally and externally.
- Ability to assess business practices and articulate gaps and opportunities for improvement compared to typical industry practices
- Experience or understanding of treasury operations, including treasury systems, cash management, financial risk management, funding and debt management, banking relationship management etc
- Experience or understanding of treasury governance, processes risks and controls
- Knowledge of accounting and valuations of financial instruments (IFRS, UK GAAP or equivalent)
- The ability to explain specialised concepts to non-technical audiences
- Demonstrated interest in Financial Markets, Corporate Treasury, and/or financial risk modelling.
Benefits
- Hybrid Working
- Pension/Discounted Health Insurance
- Web Doctor
- Purchase of Additional Annual Leave
- Free Gym Membership
- Travel Pass
- Maternity & Paternity Leave
- Bike to Work Scheme
- Referral Bonuses & Recognition Awards
- Tech MBA paid by EY
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
chartered accountantTreasury qualificationfinancial due diligencecash flow forecastingfinancial risk managementtreasury systemsaccountingvaluations of financial instrumentsfinancial risk modellingproject management
Soft Skills
analytical skillsproblem-solving skillswritten communicationverbal communicationcoachingrelationship managementperformance managementconsultative skillsclient engagementbusiness assessment
Certifications
ACCAACACACPAICASACTAMCTCFA