Summary by IrelandJobHub
U.S. Bank is looking for an experienced treasury professional to handle daily liquidity, funding, and cash positions in several currencies. The role involves supporting liquidity optimisation, balance sheet decisions, and FX exposure management within a regulated banking setting. Strong analytical abilities, familiarity with Treasury Management Systems, and a proactive approach to automation and process enhancements are required. An ACT or equivalent qualification is desirable.
Good to know
The full responsibilities and requirements are not available here. Use the apply button to view the vacancy at www.jobg8.com.