Overview

A Group Treasurer | Global FinTech Jobs in Dublin, County Dublin, Ireland at Confidential

Title: A Group Treasurer | Global FinTech

Company: Confidential

Location: Dublin, County Dublin, Ireland

A Group Treasurer | Global FinTech

Looking for your next challenge in treasury? If you have experience managing liquidity, cash flow, banking relationships, and multi-currency operations within an international business, we'd love to introduce you to an opportunity where you can make a tangible impact from day one.

We're looking for a Group Treasurer to join a successful and constantly growing global FinTech organization, where you'll play a key role in managing liquidity, optimizing cash flow, and supporting the company's international financial operations ana managing a team.

This is a hybrid role in Dublin, Ireland.

What you'll be doing

  • Own day-to-day treasury operations across multiple international entities.
  • Manage a financial team of 4-6 people
  • Manage cash positioning, liquidity, and short- and long-term cash flow forecasting.
  • Oversee domestic and international payments, banking relationships, and multi-currency transactions.
  • Manage intercompany funding, foreign exchange exposure, and treasury controls.
  • Support capital adequacy monitoring, regulatory compliance, and financial reporting.
  • Partner closely with Finance, Accounting, Compliance, Legal, and Operations to ensure efficient treasury processes.
  • Drive treasury process improvements and support automation initiatives.

What we're looking for

  • 5–7+ years of treasury experience within a global organization with large transactions volume.
  • Experience in FinTech, Financial Services, Banking, or Brokerage is highly desirable.
  • Strong expertise in cash management, liquidity planning, treasury operations, and FX management.
  • Team Management experience – must.
  • Experience working with international banks and multi-currency environments.
  • Familiarity with treasury controls, regulatory requirements, and capital adequacy is an advantage.
  • Experience with NetSuite, banking platforms, and advanced Excel.
  • Strong analytical skills, attention to detail, and the ability to thrive in a dynamic, international environment.

Why join?

  • Be part of a growing international business with a collaborative culture.
  • Take ownership of treasury operations with real strategic impact.
  • Work alongside experienced finance leaders while helping shape and modernize treasury processes.
  • Competitive compensation and excellent opportunities for professional growth.

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