IPL Job Template at IPL Schoeller
Dublin, Leinster, Ireland -
Full Time


Start Date

Immediate

Expiry Date

25 May, 26

Salary

0.0

Posted On

24 Feb, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Liquidity Management, Cash Flow Forecasting, Trade Finance, Foreign Exchange Risk, Commodity Risk, Treasury Policy Compliance, Stakeholder Management, Working Capital Optimization, Hedging Strategies, Treasury Systems, Excel Modelling, M&A Support, Capital Investments, Financing Strategies, Bank Counterparty Management

Industry

Plastics Manufacturing

Description
Who We Are On July 1, 2025, IPL Plastics merged with Schoeller Allibert to form IPL Schoeller (the ‘company’). The Company’s operations are split across North America (11 manufacturing plants) and Europe (16 manufacturing plants). The company is headquartered in Dublin, Ireland. IPL Schoeller is a leading manufacturer of sustainable rigid packaging solutions across a range of end market segments including returnable transit packaging, consumer and industrial packaging, environmental containers and agricultural packaging. The company employs c.4,100 employees across North America (1,600 employees) and Europe (2,500 employees). Sustainability is essential to the long-term success of our business. As a packaging company that develops plastic-based solutions for our customers, it is imperative that we meet the customer needs while being mindful of our operational impacts and the need to preserve our planet. We are committed to running our business responsibly and in ways that drive environmental, social and economic value for our stakeholders, including shareholders, customers, employees and local communities. The role As the Senior Treasury Analyst, you’ll be at the heart of our cash and liquidity management strategy. You’ll work closely with the Head of Treasury, other group functions, operational treasury teams and the wider business to deliver accurate forecasting, manage risk, and support strategic projects. You will play an important role in helping to manage the organization’s liquidity and cash management strategy. You will oversee day to day liquidity management including cash positioning, cash flow forecasting and cash extractions. You will help manage several multi-currency trade finance facilities ensuring compliance with relevant reporting requirements and covenants. You will also help manage relevant foreign exchange and commodity risks and ensure compliance with the Treasury Policy. This role requires a capacity to build relationships across the organisation Manage daily cash operations, including cash positioning, forecasting, and liquidity planning Build relationships with group and operational teams Develop and maintain short- and long-term cash flow forecasts Willingness to challenge the status quo, alongside capacity to pivot and remain flexible Understanding of tax structures and managing cash extractions Support working capital optimization initiatives across procurement, inventory, and receivables Help monitor and manage foreign exchange and commodity risk exposures Manage bank counterparty consolidation and other treasury projects Ensure compliance with treasury policies, internal controls, and regulatory requirements Collaborate with procurement and operations to manage hedging strategies for raw materials Evaluate and implement treasury management systems and process improvements Support M&A activities, capital investments, and financing strategies as needed Qualifications and Experience Bachelor’s degree in Finance, Accounting, Economics, or related field (Master’s or MBA is advantageous) Professional certification such as CTP (Certified Treasury Professional) is a plus 5+ years of progressive experience in treasury or corporate finance, preferably in manufacturing or packaging industries Strong knowledge of cash management, FX, trade finance, and banking instruments Proficiency in treasury systems and Excel modelling Excellent analytical, communication, and stakeholder management skills Experience working in a global or multi-currency environment is desirable If you have the above experience and are looking for a role where you can make a real difference, apply today to find out more!
Responsibilities
The Senior Treasury Analyst will oversee day-to-day liquidity management, including cash positioning, forecasting, and extractions, while managing multi-currency trade finance facilities and ensuring compliance with reporting requirements. This role also involves helping to manage foreign exchange and commodity risks and supporting working capital optimization initiatives across various business functions.
Loading...