Overview
A leading European Asset Manager with a significant presence in Dublin is seeking a Head of Finance to oversee treasury, accounting, and financial operations across a growing investment platform.
This is a hands-on leadership role for someone who enjoys being close to the numbers while shaping financial strategy and controls across funds and SPVs. You’ll work closely with senior management and financing partners to safeguard investments, streamline liquidity management, and enhance reporting frameworks as the business scales.
Excellent salary, benefits and career progression opportunities on offer.
Key Responsibilities
Lead daily treasury operations and manage fund / SPV cash flows and reconciliations.
Maintain and optimise cash flow forecasts and liquidity models across multiple vehicles.
Ensure timely debt service, interest, and distribution payments, protecting fund IRRs.
Oversee reporting, controls, and accounting oversight, working with external providers and auditors.
Collaborate with the financing team on covenants, repayments, and capital deployment.
Drive continuous improvement in treasury systems, automation, and process efficiency.
Key Requirements
7–10 years’ experience in fund finance, treasury, or structured finance, ideally with real assets or private markets exposure.
Deep understanding of liquidity management, debt covenants, and financing documentation.
Strong financial modelling and analytical skills (advanced Excel essential).
Confident communicator, detail-oriented, and comfortable managing external relationships.
Professional qualification (ACA / CFA / ACT) beneficial but not essential.
This is an exceptional opportunity to step into a visible, high-impact finance leadership role within a sophisticated asset management environment. You’ll join a collaborative team with real growth potential — both for the business and your career.
Interested parties should apply now for consideration, for more information contact johnennis@tanarecruitment.ie
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