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Treasury and Risk Senior Analyst

Accenture UK & Ireland · Dublin, County Dublin, Ireland

🌐 Remote📅 14/08/2026
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Position: Treasury Senior Analyst Career Level: Senior Analyst Location: Dublin About Accenture Accenture helps the world’s leading enterprises reinvent by building their digital core and unleashing the power of AI to create value at speed for organizations across industries. Our strategy is to be the reinvention partner of choice for our clients and lead in the safe, widespread adoption of AI, and to be the most client-focused, AI-enabled, great place to work in the world. We bring together the talent of our approximately 786,000 people with proprietary assets and platforms, deep process and industry expertise, and leading ecosystem relationships to deliver end-to-end solutions and measurable outcomes at scale. Through our Reinvention Services, we offer broad expertise across Cybersecurity, Digital Core, Finance, Industry and Enterprise, Song, Supply Chain and Engineering, and Talent, with advanced capabilities in AI and Data, Industry and Process, and Technology. We serve approximately 9,000 clients and generated approximately $70 billion in FY25 revenue. Visit us at accenture.com. “Across the globe, one thing is universally true of the people of Accenture: we care deeply about what we do and the impact we have with our clients and with the communities in which we work and live. It is personal to all of us.” – Julie Sweet, Accenture CEO Provide analysis, processing, and transactional support to the Treasury function. Will have an international cash management focus and deliver solutions using various Treasury tools and capabilities. Responsibilities: Daily cash positioning & reconciliation within our centralized treasury centre. This includes computation of cash positions, FX transfers with banks across various time zones as well as preparation of month-end reports Payment processing in a multi-currency environment Prepare various summary reports for top level Finance management Provide support for the Cash Management Associate Manager Prepare cash flow forecasts Calculate inter-company loan positions and coordinate execution Supporting local cash needs and liquidity related issues Work with global Treasury team on liquidity based issues Assist in the transition of ongoing strategic Treasury initiatives Work closely with financial institutions and country Finance Managers to ensure entities comply with Treasury policies Assist in the identification of issues relating to Treasury Management and the development of quality solutions Opening/Closing and maintaining bank accounts and Authorized signatories Work closely with financial institutions to ensure all KYC is updated. Skills: Knowledge of international cash management concepts and financial markets; foreign exchange a plus Strong organisational and communication skills Resourcefulness, and a self-starter Positive attitude and flexibility Research and problem solving skills Qualifications/Experience: Degree in Business or Finance. Note that relevant experience can supplement degree requirements 2+ years strong Treasury experience Working Knowledge of Excel and bank platforms Knowledge of Treasury systems advantageous Previous experience in SAP/online banking platforms a plus Application Deadline: Ongoing Accenture reserves the right to close the role, if a suitable candidate is found.
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