Senior Treasury Analyst
Overview
At Gallagher, we are innovative thinkers and service-minded individuals, united by a commitment to one another's growth and the pursuit of shared goals. As a Senior Treasury Analyst based in Ireland, you’ll join a global leader in insurance, risk management, and consulting services. This hybrid role offers the opportunity to work on impactful global initiatives, manage investments, and collaborate with cross-functional teams to drive organisational success.
How you'll make an impact
In this role, you’ll play a pivotal part in managing and improving Gallagher’s investment programme. You’ll research and direct the placement of excess cash, oversee monthly investment performance reporting, and maintain global investments using the Kyriba treasury management system.
You’ll also:
- Execute foreign currency trades using Bloomberg and manage pre- and post-trade coordination.
- Prepare divisional cash forecasts and partner with local finance teams for analysis.
- Monitor and manage intercompany loan portfolios and lead cross-border settlements.
- Assist in implementing multilateral netting and stay informed on market trends, currency fluctuations, and restrictions.
- Provide ad hoc reports to senior leaders on investment performance, forecasts, and portfolio composition.
Your work will directly contribute to the organisation’s financial health and strategic goals, ensuring that Gallagher continues to thrive globally.
About you
Here’s what you’ll bring to the role:
- A bachelor’s degree in Finance, Business, or Accounting.
- 3-6 years of relevant experience in treasury, banking, or finance.
- A strong understanding of capital markets, including treasury, short-term secured funding markets, and money market funds.
- Proficiency in cash forecasting and sound cash management principles.
- Advanced Microsoft Office skills (VBA is desirable).
- Exposure to AI applications and prompts is beneficial.
- A CFA, CAIA, or FRM designation (or working towards one) is desirable.
- A proven ability to manage multiple projects under deadlines and communicate findings effectively.
#LI-LC1 #LI-Hybrid
Compensation and benefits
At Gallagher, we believe supporting our colleagues goes far beyond the role itself.For more information, visit our Benefits page.- Competitive compensation- Comprehensive benefits programs designed to support your well-being- Career development opportunities and ongoing learning- A collaborative, people-first culture with accessible leadership- The opportunity to do meaningful work with global reach and local impactAt Gallagher, we are dedicated to building an inclusive and authentic workplace.If your past experience doesn't align perfectly, we encourage you to join ourTalent Community to stay connected to additional career opportunities. Although this role is listed as full-time, if you're in a job-share partnership, work reduced hours, or have any other flexible arrangement, please still get in touch. We will also offer reasonable adjustments to the recruitment process if required, so please let us know.Gallagher is an affirmative action/equal opportunity employer (Minorities/Females/Veterans/Disabled)Qualifications:
Here’s what you’ll bring to the role:
- A bachelor’s degree in Finance, Business, or Accounting.
- 3-6 years of relevant experience in treasury, banking, or finance.
- A strong understanding of capital markets, including treasury, short-term secured funding markets, and money market funds.
- Proficiency in cash forecasting and sound cash management principles.
- Advanced Microsoft Office skills (VBA is desirable).
- Exposure to AI applications and prompts is beneficial.
- A CFA, CAIA, or FRM designation (or working towards one) is desirable.
- A proven ability to manage multiple projects under deadlines and communicate findings effectively.
#LI-LC1 #LI-Hybrid
Education:UNAVAILABLEEmployment Type: FULL_TIME