
Treasury Finance Specialist
- Dublin
- €86,400 per year
- Permanent
- Full-time
- Execute daily EMEA liquidity management processes, including cash positioning, forecasting, while supporting bank partner interactions.
- Partner with engineering to identify automation opportunities, design strategic treasury solutions, and implement them effectively.
- Analyze and optimize funds flows across various areas, including costs, working capital, liquidity risk, and regulatory considerations.
- Develop and execute liquidity management strategies that enhance financial flexibility and resilience
- Assess new products for impact on liquidity and partner closely with business and engineering teams to design scalable solutions as part of Stripe's overall architecture.
- Enhance Treasury policies and procedures across various functions to ensure best practices.
- Represent Liquidity Management team in interactions with risk and compliance functions, contributing to committee/board communications and responses to regulatory inquiries.
- Bachelor's degree and 8+ years of work experience in a relevant field, such as treasury, finance, liquidity management, or risk management.
- Strong analytical skills: Ability to assess quantitative and qualitative data, question assumptions and the status quo, and propose new methodologies or technologies to enhance liquidity management.
- Strong problem-solving skills: A curious mindset with a willingness to “roll up your sleeves” to dive into complex issues to develop scalable solutions.
- Results-Oriented Attitude: a strong focus on getting things done.
- Effective communication skills: Excellent written and verbal communication abilities, with capability to interact seamlessly with cross-functional teams.
- Fast learner: Ability to multitask and navigate a fast-paced environment with tight deadlines.
- Highly organized: Exceptional attention to detail and follow-through.
- Familiarity with the payments industry and fintech landscape in EMEA.
- Experience with SQL, R, or equivalent.