We are seeking a skilled and experienced Senior Treasury Manager to join our small team in Dublin, Ireland.
As a key member of the Treasury team, you will support the Treasurer and Treasury Director as we establish a new In-House-Bank for Sandisk, navigating the challenges that come when building a solution whilst operating in flux and supporting the build of a robust and streamlined Treasury team and a best-in-class operation.
You will have responsibility for the management of the EMEA bank accounts and liquidity. Seizing opportunities to maximize returns and rationalize banking structures. Working closely with colleagues in the US, Dublin and APAC to deliver robust daily cash reporting for senior management with impeccable cash forecasting and a continued focus on the Treasury ‘value add’ messaging.
There will be an onus on building strong relationships with our banking and service partners both in-region and globally; with their support you should be able to identify impacts of regulatory changes in advance with a problem solving attitude to issues presented. With a strong controls and compliance mind-set, you will have the ability to understand key Treasury risks and how best to deploy bank and financial solution to mitigate within the framework of internal policy compliance.