Base: very competitive; bonus/equity: not specifie...
Hybrid
Daily bank statement confirmation
Accurate daily payment processing
Front office transaction review
Carrier is seeking a Treasury Operations Specialist for its Dublin office, offering a hybrid work arrangement. The role involves providing treasury support to the global team, processing bank transactions, and maintaining documentation for intercompany loans
Job Summary
This position offers a unique opportunity to work in the newly established Treasury Centre for Carrier, a global leader in high-technology heating and cooling solutions.
The role involves daily confirmation of bank statements, processing payments accurately, and supporting intercompany loan portfolios within a dynamic multinational team.
Carrier provides a competitive base salary, 25 days of holiday plus bank holidays, and a flexible hybrid work arrangement with a focus on nurturing talent from within.
Matching Summary
Match Score: 85
Carrier is seeking a Treasury Operations Specialist for its Dublin office, offering a hybrid work arrangement. The role involves providing treasury support to the global team, processing bank transactions, and maintaining documentation for intercompany loans.
Salary
Base: Very competitive; Bonus/Equity: Not specified; Benefits: 25 Days Holiday + pension + hybrid work
Skills & Requirements
Must-have
Daily bank statement confirmation
Accurate daily payment processing
Front Office transaction review
Capital market settlement support
Intercompany loan documentation
EMIR trade reporting compliance
Nice-to-have
Strong interpersonal communication skills
Collaboration across time zones
Flexible hybrid work environment
Career progression opportunities
Additional European language fluency
Key Requirements
Undergraduate degree in Finance or Accounting
2-4 years experience in Treasury or Finance
Experience with Kyriba or SAP Treasury systems
AMCT qualification or part-qualified status (advantage)