Treasury Strategy & Cash Management Leader
Posted 18 days 21 hours ago by Shoptalk
Permanent
Full Time
Other
Dublin, Ireland
Job Description
Fiserv is seeking a Lead Treasury Analyst to drive cash and liquidity strategy for the EMEA region. You will manage working capital, forecast cash flows, and supervise bank relationships to ensure adequate liquidity.
The role emphasizes automation and risk controls within a global payments context. The candidate should hold a finance-related Bachelor's degree with 4+ years of treasury experience, and demonstrate advanced Excel, PowerPoint, and analytical skills.