Posted on Apr 17, 2019 by Anonymous
Based in Dublin, the tasks will vary and will include:
* Processing daily payments linked to trading and ensuring they are accurate and on time.
* Admin of multiple banking platforms.
* Anti-money laundering compliance.
* Management of electronic & paper mandates.
* Month end treasury close including transaction clearing and accuracy of financial reporting.
* Provides support to Treasury Accounting Manager.
* Treasury experience highly desirable.
* SAP experience.
* Experience of general payment end to end processing.
* A fast learner, flexible with the ability to work independently.
* Have approx. 2-3 years of solid work experience (guideline only).
* Accountancy qualification or be engaged in obtaining an accounting qualification is desirable.
To be considered for this position please apply below