DescriptionSr Treasury Analyst-Finance
We have an opportunity for anSr Treasury Analyst to join our team in Dublin Ireland.You will be working in a fast pace highly sophisticated and technology-driven treasury this role you will play a key part in contributing to establishing Honeywell Aerospace EMEA Treasury team. Ensuring an efficient banking and liquidity structure to support our global operations through centralized treasury operational model. Be a treasury subject matter expert and get involved in implementing FIS Quantum and Payment Hub
Hybrid work module with 3 days work from Office and 2 days from home.
Honeywell
Honeywell Aerospace products and services are used on virtuallyeverycommercial defense and aircraft engines cockpit andcabin electronics wireless connectivitysystems mechanical components. Ourhardware and software solutions help create morefuel-efficient aircraft more direct and on-timeflights and safer skies.
Safer More Fuel-Efficient Flying and Innovations for the Future of Aviation.
Key Responsibilities
- Analyze trade finance transactions and ensure compliance with regulations and internal policies.
- Full understanding of banking practices with regards to trade finance. Work with internal stakeholders to facilitate trade operations and resolve any issues or discrepancies negotiating both with our customer and internal stakeholder.
- Monitor and manage trade finance documentation including letters of credit guarantees and other trade instruments.
- Conduct financial thoughtfulness and risk assessments for trade finance transactions. Provide facilitation and guidance to business units on trade finance matters.
- Maintain effective banking relationships and monitor associated trade finance lines. Work closely with the wider treasury team to release payments and monitor cash
- Stay updated on industry trends and regulations related to trade finance.
Must Have Skills
- 3 years of experience in treasury management or related field
- Strong knowledge/Experience of cash management risk management capital markets and financial planning.
- Experienced cash and liquidity management with international experience
- Excellent thoughtfulness problem-solving and decision-making skills.
- Strong communication and people-oriented skills with the ability to work effectively with cross-functional teams.
- Ability to prioritize and manage multiple tasks in a fast-paced environment
- Proactive and detail-oriented approach to work
Our offer
- Competitive remuneration and benefits. Opportunities for professional development and career advancement.
- Hybrid and flexible working arrangements
- Continued professional development and growth opportunities within a global team
- A culture that fosters inclusion diversity and innovation. Market specific training and ongoing personal development
- Opportunities to work with the latest technology and new products
- A dynamic and inclusive work environment that fosters innovation and growth.
- A culture that fosters inclusion diversity and innovation in an international work environment
- Market specific training and ongoing personal development. Experienced leaders to support your professional development
We are an equal opportunity employer and value diversity at our company. We do not discriminate based on race religion color national origin gender sexual orientation age marital status veteran status or disability status. We will ensure that individuals with disabilities are provided with reasonable accommodation to participate in the job application or interview process to perform crucial job functions and to receive other benefits and privileges of employment. Please contact us to request accommodation.
Join us now and be part of a global team of thinkers innovators dreamers and doers who make the things that make the future!
#TheFutureIsWhatWeMakeIt #Hybrid
Required Experience:
Senior IC
DescriptionSr Treasury Analyst-Finance We have an opportunity for anSr Treasury Analyst to join our team in Dublin Ireland.You will be working in a fast pace highly sophisticated and technology-driven treasury this role you will play a key part in contributing to establishing Honeywell Aerospace EM...
DescriptionSr Treasury Analyst-Finance
We have an opportunity for anSr Treasury Analyst to join our team in Dublin Ireland.You will be working in a fast pace highly sophisticated and technology-driven treasury this role you will play a key part in contributing to establishing Honeywell Aerospace EMEA Treasury team. Ensuring an efficient banking and liquidity structure to support our global operations through centralized treasury operational model. Be a treasury subject matter expert and get involved in implementing FIS Quantum and Payment Hub
Hybrid work module with 3 days work from Office and 2 days from home.
Honeywell
Honeywell Aerospace products and services are used on virtuallyeverycommercial defense and aircraft engines cockpit andcabin electronics wireless connectivitysystems mechanical components. Ourhardware and software solutions help create morefuel-efficient aircraft more direct and on-timeflights and safer skies.
Safer More Fuel-Efficient Flying and Innovations for the Future of Aviation.
Key Responsibilities
- Analyze trade finance transactions and ensure compliance with regulations and internal policies.
- Full understanding of banking practices with regards to trade finance. Work with internal stakeholders to facilitate trade operations and resolve any issues or discrepancies negotiating both with our customer and internal stakeholder.
- Monitor and manage trade finance documentation including letters of credit guarantees and other trade instruments.
- Conduct financial thoughtfulness and risk assessments for trade finance transactions. Provide facilitation and guidance to business units on trade finance matters.
- Maintain effective banking relationships and monitor associated trade finance lines. Work closely with the wider treasury team to release payments and monitor cash
- Stay updated on industry trends and regulations related to trade finance.
Must Have Skills
- 3 years of experience in treasury management or related field
- Strong knowledge/Experience of cash management risk management capital markets and financial planning.
- Experienced cash and liquidity management with international experience
- Excellent thoughtfulness problem-solving and decision-making skills.
- Strong communication and people-oriented skills with the ability to work effectively with cross-functional teams.
- Ability to prioritize and manage multiple tasks in a fast-paced environment
- Proactive and detail-oriented approach to work
Our offer
- Competitive remuneration and benefits. Opportunities for professional development and career advancement.
- Hybrid and flexible working arrangements
- Continued professional development and growth opportunities within a global team
- A culture that fosters inclusion diversity and innovation. Market specific training and ongoing personal development
- Opportunities to work with the latest technology and new products
- A dynamic and inclusive work environment that fosters innovation and growth.
- A culture that fosters inclusion diversity and innovation in an international work environment
- Market specific training and ongoing personal development. Experienced leaders to support your professional development
We are an equal opportunity employer and value diversity at our company. We do not discriminate based on race religion color national origin gender sexual orientation age marital status veteran status or disability status. We will ensure that individuals with disabilities are provided with reasonable accommodation to participate in the job application or interview process to perform crucial job functions and to receive other benefits and privileges of employment. Please contact us to request accommodation.
Join us now and be part of a global team of thinkers innovators dreamers and doers who make the things that make the future!
#TheFutureIsWhatWeMakeIt #Hybrid
Required Experience:
Senior IC
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