
Associate Manager, RHQ Treasury
- Cork
- Permanent
- Full-time
- Lead analysis of RHQ and regional funding structures and recommend changes to maintain efficient funding
- Support the I/C loan portfolio administration process including interest rate settings, interest settlements, review performance of existing loans, and identification new IC loans
- Perform RHQ cash generation and funding analysis to support allocation of excess cash including investment strategy, and tax liability funding
- Lead for RHQ currency exposure matters including analysis of monthly results, exchange rate variance analysis and projects and cashflow and balance hedging program exposure reporting
- Assist with large cross border settlements related to transfer price adjustments, one-off derivative contracts, or payments between affiliates
- Support efforts to maintain and update process documentation and related material to meet internal control requirements
- Lead process improvement and automation efforts with a focus on strengthening controls and transparency.
- Contribute to the completion of the quarterly disclosures and internal reporting related to derivatives, and overseas cash
- Assist with funding various mergers and acquisitions and facilitate new intercompany loan structures as needed.
- Support Treasury team as needed on projects, including recurring and non-recurring transactions, acquisitions, divestitures, restructuring and other strategic issues
- Develop and foster strong working relationships with operations and distribution contacts and cross-functional departments
- Bachelors degree in finance, economics or related field
- MBA and/or CFA preferred
- Minimum 6 years of finance-related experience including treasury, banking or international treasury,
- Strong analytical skills
- Understanding of foreign exchange accounting and management, hedge designation requirements and disclosure process
- Excellent communication, organization, and self-management skills
- Ability to thrive in a fast-paced environment
- Strong research and writing skills
- Self-starter with excellent project management and partnering skills
- Ability to develop and sustain relationships internally with business units and cross-functionally
- Large multi-national corporation
- Experience with centralized Treasury function
- Experience with derivative execution platforms, hedge accounting platforms and HFM/Hyperion a plus
- Exposure to international transactions / operating activity desired