
Senior Treasury Analyst
09 February 2026
Our client, a leading energy and infrastructure organisation, is seeking an experienced Treasury Manager to lead group-wide cash forecasting, liquidity planning and treasury optimisation. The role will oversee trade finance, manage banking relationships, strengthen visibility of cash positions and drive automation across ERP and TMS systems.
The Role:
- Cash forecasting, liquidity reporting and surplus cash investment
- Trade finance operations and collateral oversight
- Banking partner management
- Digitisation and process improvement across treasury
- Team leadership and KPI development
Requirements:
- Significant experience in corporate treasury within complex, multi‑entity environments.
- Proven track record in cash forecasting, liquidity strategy, and surplus cash investment.
- Strong leadership capability and stakeholder management skills.
- Experience leading treasury technology transformations (ERP/TMS integration, automation, digitisation).
To discuss in more detail, contact Diarmuid Clancy via dclancy@elevatepartners.ie or apply directly via the link provided.