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Interim Treasury Manager - Cash Management (12-Month FTC)
Referral Publicisgroupe Icims Com
Publiée le
08/06/2026
Contrat
CDD / Temporaire · Inconnue
Localisation
Dublin-Dublin, UNAVAILABLE, IE
Taille équipe
15-50 emp.
Rémunération
Inconnue
Missions clés
Mettre en relation les besoins métiers des candidates avec les besoins opérationnels · Proposer des solutions d'orientation professionnelle
Profil recherché
Bac +5 (Master 2, Diplôme d'ingénieur) · 5-10 ans d'expérience · Communication · Créativité · Google Ads · HubSpot
Outils & compétences
Digital Marketing, Advertising
Le poste en détail
Company Description
Publicis Groupe is a global leader in marketing, communication, and digital transformation.
The Groupe offers a full range of services and skills: digital, advertising, public affairs, corporate communications and events, media strategy, planning and buying, healthcare communications, and brand asset production. The company is present in over 100 countries and employs in excess of 98,000 professionals. #LI-FG1
Job Description
The global treasury operations and in-house bank are centralized in Ireland and include providing funding and liquidity to group companies, cash management, FX and interest rate risk management and other related treasury services for group entities. The team is focused on ongoing efficiency improvement and development of optimal treasury processes whilst ensuring strong internal controls and maintaining relationships with internal teams and external banking/other partners.
Responsibilities
The Treasury Manager – Cash Management will act as an expert on strategic topics enhancing the centralization of banking services within the Finco, cash pooling, new treasury initiatives, and project management. The main tasks include;
Managerial
Well structured, efficient cash pooling structures
Cash visibility and centralization of cash, exploring options in restricted countries
Project management
Prepare information for senior management
Projects
Propose & maintain efficient cash pooling structures in Europe, Asia, Middle East, Africa and LatAm
As a main business user, be involved in major upgrade projects of Treasury Management system & TRAX
Maintain, review and implement business risk controls
Work on cash visibility projects, meeting regularly with regional treasury managers and treasurers on relevant topics
Ongoing tasks
KYC owner for Finco bank accounts
Centralisation of cash in Finco entities. Monitoring, reporting and regular meetings with the regions
Explore new solutions for cash centralisation in restricted countries
Coordinate IC dividend process for treasury operations
Manage the end to end process of account opening, static data creation & maintenance and associated cash pooling agreements
Work closely with Front Office in managing the addition of new entities on the transfer pricing platform
Maintain WHT inventory, review and update regularly
Work with the regional treasury teams in achieving more efficient cash pooling setups in Romania, Mexico, Uk, Japan & Bulgaria
Annual review of cash pooling interest conditions, maintain an inventory and ensuring accurate setup in Quantum
Act as a contingency for Treasury Manager – Backoffice when required
Qualifications
Bachelors and/or master’s degree in Banking, International Trade, Accounting, or relevant topic (required)
A minimum of 7+ years relevant experience in Treasury Operations/Treasury Back Office gained with a multinational treasury
Excellent analytical, reporting and spreadsheet skills and thorough knowledge and skill in analysing and interpreting financial reports, business periodicals, technical procedures and government regulations
Understanding of treasury instruments, procedures and cash management practices
Good treasury accounting experience
Experience of treasury management systems (ideally FIS Quantum & Trax)
Ability to work autonomously and as part of a team
Excellent communication skills
Completely literate in English language and ideally one or more foreign language skills
Must have required working visa to work in Dublin, Ireland
Additional Information
As part of our dedication to create an inclusive and diverse workforce , we are committed to equal access to opportunity for people without regard to race, age, sex, disability, neurodiversity, sexual orientation, gender identity or religion. We are committed to providing reasonable adjustments for candidates with disabilities in our application process and are happy to discuss any reasonable adjustments individuals may require in the recruitment process, or once in post.
As a Publicis Groupe employee, an array of benefits are offered. The learning opportunities are endless and you will be a part of a game-changing and world-class organisation that encourages outside-the-box thinking and empowerment to know that the world is your oyster when it comes to your career.