Treasury Analyst (temporary 9 months)
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Requirements
- A minimum of 3 years of progressive Treasury experience
- Experience in a Global environment
- Expertise
- Professional certifications such as ACT/IACT, CPA/CMA/ACCA/CIMA are a plus
- Knowledge of SOX financial controls on Accounting and reporting processes is preferred
- Experience with ERP systems (SAP preferred)
- Language
- Fluent in English with excellent written and verbal communication skill
- Strengths
- Collaborative and proactive, with the ability to manage multiple priorities
- Strong communication skills to work with all levels of the organization
- Excellent at financial modelling, forecasting, and reporting
- Highly organized with a keen eye for detail and process improvement
- Proficient in Excel, PowerPoint, and business reporting tools (Onestream preferred)
- What do we offer you?
- About Legend Biotech
- Legend Biotech maintains a drug-free workplace.
- For information related to our privacy notice, please review: Legend Biotech Privacy Notice .
Benefits
Additional Information
Powering the Future of Biotech Finance Are you ready to play a key role in managing financial strategies for an innovative, fast-growing biotech company? As a Treasury Analyst at Legend Biotech, you'll have a unique opportunity to work at the heart of our global Treasury operations in Dublin, Ireland. Your work will directly support cash management, forecasting, and reporting, all while contributing to our mission of revolutionizing cancer treatment. What can you expect? Financial Strategy & Cash Management: Prepare cash forecasts, intercompany funding, and FX projections, helping optimize liquidity and manage foreign exchange risks across the business. Your work will play a crucial part in the financial health of the company. Reporting & Executive Support: Produce detailed management reports on cash performance, cash management targets, and long-term planning. Work closely with Treasury leadership to provide insights and prepare executive-level presentations for key stakeholders. Operational Efficiency: Support day-to-day Treasury operations, including opening/closing bank accounts, administering online banking systems, and managing corporate card and travel accounts. Your organizational skills will help maintain smooth financial operations. Compliance & Process Improvement: Ensure all processes align with regulatory standards and participate in audit reviews and process walkthroughs. You'll also contribute to continuous improvements in Treasury processes, optimizing efficiency and enhancing controls. Collaboration & Innovation: Work with cross-functional teams and be involved in projects that support both short-term and long-term business goals. Your teamwork will help drive operational excellence and innovation in the finance space. Who are we looking for? Education Bachelor's in Accounting or Finance
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