16 Treasury Risk Jobs in Leixlip
-
Treasury Services Risk Manager | Hybrid Dublin, County Dublin, Ireland My client is a global credit firm based in Dublin. They manage all of their global treasury out of Dublin and they are seeking to recruit an analytical treasury risk expert to support 7 days ago
-
Securities Services Sanctions Compliance Officer - SVP Dublin, County Dublin, Ireland thereof; experience working in an OFAC risk product (treasury/cash management, trade, correspondent banking) role; Advanced degree preferred ------------------------------------------------------ Job Family 6 days ago
-
Treasury Senior Analyst Marsh Corporate Services - Dublin Quantum. Administers regional FX - provide advice & execute hedging: Support the Manger of Ireland Treasury on the administration of the regional FX exposures and any associated risk management. Administers 60000.0 11 days ago
-
Treasury Manager Bausch & Lomb Ireland - Dublin, County Dublin, Ireland Corporate Treasury in managing foreign currency risk, including minimizing non-functional currency cash balances and providing inputs for the corporate FX hedging program Support local finance teams in FX 14 days ago
- Forum: Start a Discussion Join
-
Finance Accountant - EMEA Investment Reporting, Data & Analytics MetLife International - Dublin with a variety of Finance and Non-Finance stakeholders including Portfolio Management, Risk Management, Hedging, Treasury & Middle Office, and fronts to senior levels of management including subregion CEO, CFO 65000.0 3 days ago
-
Treasury Manager Dublin North City Poor Law Union, Leinster, Ireland of treasury transactions into the accounting system. Maintain, review and implement business risk controls for their region. Maintain the integrity of the cash processes function in accordance with internal More than 30 days ago
-
Management Accountant Cluid Housing Association - Dublin of the Finance Team covers four areas Procurement, Finance Operations, Risk Assurance and Treasury & Corporate Finance. The Finance Department provides a range of services in support of Clid's primary mission 60000.0 9 days ago
-
Manager Regulatory Reporting Controls & Operations Bank of Ireland Group - Dublin such as business partners, finance, risk and treasury to ensure the accuracy of returns. Why work with us The Bank of Ireland company culture prioritises work-life balance with an opportunity for flexible working 12000.0 10 days ago
-
Treasury Associate - 11 month FTC Davy - Dublin, County Dublin 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 7 days ago
-
Treasury Associate Elevate Partners - Dublin, Ireland Treasury support to the wider business. Specific responsibilities include cash positioning and forecasting, funding, liquidity management, FX risk management and analysis and payments support. Role Duties Competitive Salary and compensation package 7 days ago
Top locations