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Financial Analyst – Treasury (SPC)

EY · Dublin 2

🇬🇧 English

Job description

About the role

EY is seeking a Financial Analyst to join its Treasury team in Dublin. Reporting to the Finance Manager, you will support both day‑to‑day treasury operations and strategic transformation initiatives, ensuring accurate financial controls and continuous process improvement.

Key responsibilities

  • Execute daily treasury tasks, including operator revenue and bank reconciliations.
  • Maintain and monitor suspense accounts, investigating unreconciled items within defined SLAs.
  • Develop, document, and update standard operating procedures (SOPs) for treasury processes.
  • Support liquidity management, internal banking transfers, and potential migration of banking services.
  • Identify, recommend, and implement process improvements to enhance efficiency and control.
  • Coordinate routine and project‑specific communications with banking institutions.
  • Respond to operator and internal queries related to treasury activities.

Required profile

  • Strong analytical mindset with the ability to prioritize competing demands.
  • Experience in treasury operations, bank reconciliations, and managing suspense accounts.
  • Proactive attitude toward process documentation and improvement.
  • Ability to work in a fast‑paced, controlled environment and support transformation projects.

Required skills

    What we offer

    • Opportunity to work within a global professional services firm.
    • Exposure to strategic treasury initiatives and organisational transformation.
    • Collaborative and diverse team environment.

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    Published 2 months ago

    40 views · 0 interested

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    EY

    Dublin 2