
Treasury Accountant
30 October 2025
 Our client is seeking a Treasury Accountant to join their Treasury & Capital Planning team, which manages treasury operations and oversees the capital structure supporting their renewable energy strategy.
Responsibilities 
- Trade finance administration (products and guarantees) in line with policy.
 - Cash forecasting & operations: maintain short/long‑term forecasts; variation analysis; manage bank accounts and access; process treasury invoices and internal funding workflows; optimise banking partner arrangements.
 - FX & liquidity management: execute and report hedging; monitor liquidity; invest excess cash within risk appetite.
 - Special projects: represent Treasury on development pipeline, M&A activities, treasury automation and other high‑impact projects.
 - Compliance with Treasury policies, procedures and controls; support internal/external audit queries.
 - Co‑operate with Health & Safety provisions and participate in performance management processes.
 
Requirements
- 2+ years’ experience in banking, treasury or corporate finance or newly‑qualified accountant.
 - Relevant degree (Business/Corporate Finance); accountant qualification highly desirable.
 - Highly ambitious with junior treasury experience or newly‑qualified background.
 
To discuss in confidence, contact Matthew Fleming at mfleming@elevatepartners.ie or apply directly via the link provided.