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The Davy Group is Ireland's leading provider of wealth management, asset management, capital markets and financial advisory services. The Davy Group is headquartered in Dublin, with offices in London, Belfast, Cork and Galway. Employing over 800 people, we offer a broad range of services to private clients, small businesses, corporations and institutional investors, and organise our activities around five interrelated business areas - Asset Management, Capital Markets, Corporate Finance, Private Clients and Research.
This permanent position in our Dublin office has arisen to join the Treasury team which is part of Davy Group Finance. Reporting to the Treasury Associate Director, you will play a key role in providing Treasury support to the wider Davy business. Specific responsibilities include cash positioning and forecasting, funding, liquidity management, FX risk management and analysis and payments support. While also assisting with the roll out and continued development of our Treasury Management System (TMS).
Responsibilities
Requirements
Davy is an equal opportunities employer and we are committed to fostering an inclusive workplace. We value diversity both in background and in experience. You might not meet all of the requirements outlined in the above job description, but we would still like to hear from you. We review all applications received.
Appointment to this role is subject to the candidate's eligibility to work in Ireland.
Davy Group is a member of the Bank of Ireland Group.
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