Treasury Operations Specialist

Carrier

Dublin, Ireland
Very competitive base salary; not specified; 25 da...
Hybrid
Daily bank statement confirmation
Accurate daily payment processing
Front office transaction review
This position offers a unique opportunity to support the global Carrier Treasury team within a newly established Treasury Centre in Dublin

Job Summary

  • This position offers a unique opportunity to support the global Carrier Treasury team within a newly established Treasury Centre in Dublin.
  • The role involves daily confirmation of bank statements, accurate payment processing, and settlement of capital market transactions.
  • Carrier provides a competitive base salary, 25 days of holiday plus bank holidays, and a flexible hybrid work arrangement.

Matching Summary

This position offers a unique opportunity to support the global Carrier Treasury team within a newly established Treasury Centre in Dublin.

Salary

Very competitive base salary; Not specified; 25 Days Holiday + bank holiday; Company Pension

Skills & Requirements

Must-have

  • Daily bank statement confirmation
  • Accurate daily payment processing
  • Front office transaction review
  • Capital market transaction settlement
  • EMIR trade reporting compliance
  • English fluency mandatory

Nice-to-have

  • Interpersonal collaboration skills
  • Flexible hybrid work environment
  • Career progression opportunities
  • European language asset
  • Prior banking experience preferred

Key Requirements

  • Undergraduate degree in Finance or Accounting
  • 2-4 years of Treasury or Finance experience
  • Experience with Kyriba or SAP Treasury systems
  • AMCT qualification or part-qualified status (advantage)

Work Rights

Not specified

Tailored Resume

Cover Letter