Treasury Manager

Posted 1 hour 29 minutes ago by Peak Performance Recruitment

Permanent
Full Time
Banking & Financial Services Jobs
Dublin, Ireland
Job Description

We are looking for an experienced treasury operations professional to join a successful aircraft leasing and finance platform. This role will support the management of funding arrangements and work closely with internal teams and external partners to ensure treasury processes run smoothly and effectively.

The successful candidate will help oversee treasury operations, reporting processes, cash flow activity, and compliance monitoring across a range of funding structures, ensuring strong controls and clear governance.

Key Responsibilities
  • Oversee monthly funding structure cash flows, waterfalls, and related processes.
  • Manage relationships with external service providers and operational partners.
  • Coordinate lender, banking, trustee, and regulatory reporting requirements.
  • Monitor facility performance, cash flows, and compliance obligations, escalating risks as needed.
  • Perform loan reconciliations and support lender information requests.
  • Monitor daily cash movements and optimise surplus cash balances.
  • Oversee debt-related cash settlements and payments.
  • Review financing documentation, operational requirements, and transaction cash flows to support accurate execution.
  • Support new funding activity, refinancing processes, and ongoing programme management.
  • Work with finance teams to support reporting, reconciliations, audits, and funding-related analysis.
  • Maintain treasury policies, procedures, and a robust control environment while driving continuous improvement initiatives.
Experience required
  • Relevant experience in treasury operations, structured finance, corporate treasury, funding operations, or a related finance operations role.
  • Experience of aircraft leasing or aviation finance
  • Understanding of debt facilities, cash flow waterfalls, covenant monitoring, funding structures, and liability management.
  • Experience managing third-party service providers and external stakeholders.
  • Knowledge of cash management, banking operations, and liquidity processes.
  • Strong analytical, problem-solving, and stakeholder management skills.