Summary:
Meta’s mission is to give people the power to build community and bring the world closer together. Through our family of apps and services, we're building a different kind of company that connects billions of people around the world, gives them ways to share what matters most to them, and helps bring people closer together. Whether we're creating new products or helping a small business expand its reach, people at Meta are builders at heart. Our global teams are constantly iterating, solving problems, and working together to empower people around the world to build community and connect in meaningful ways. Together, we can help people build stronger communities — we're just getting started.Come join a collaborative, fun and fast-paced team at Meta. We are seeking a motivated self-starter to join Meta’s Treasury team. As an integral part of our Treasury Operations team, you will support many aspects of our global Treasury Operations. In this role, you will gain invaluable experience with visibility into Meta’s operations and business and have a meaningful impact within a growing Finance organization. Successful candidates for this team are well-rounded top performers who can be key contributors in a high-intensity growth environment. Attention to detail, organization, and a deep passion to learn, will also be key to your success. As a Company with international operations, you will have opportunity to develop an understanding of the issues involved in managing a complex global organization and be involved in creating and implementing solutions to these challenges.The full time position will be based in Dublin and will report to the International Operations Treasury Manager.
Required Skills:
Treasury Manager Responsibilities:
Assist the Global Liquidity GPO on implementing a Global In House Bank (IHB)
Gathering and analyzing data to support the project.
The role will support the monitoring and control of daily bank activity, to include completeness checks for key internal & external transactions, which support on-going cash & risk management strategies.
Ownership of daily operational tasks such as: wire processing, cash management, delivery of daily emails for morning and afternoon checks on status of daily operational tasks.
Execution and coordination of intercompany and external cash movement Globally. Expertise in processing payments Globally required.
Develop and maintain reporting capabilities that surface key insights to Finance management
Minimum Qualifications:
Minimum Qualifications:
A minimum of a Bachelor’s degree in Business, Finance or Accounting
3-5 years of experience in domestic and international Treasury Operations
TMS experience is an advantage
Exceptional analytical skills and strong Excel skills (pivot tables, vlookups, etc.)
Proven strong experience with a Treasury Management System, In-house banking and Multi lateral netting experience a plus
Preferred Qualifications:
Preferred Qualifications:
Have a great work ethics and have the ability to work individually on projects as well as part of a dynamic team.
Must be a self-starter, have own initiative, and possess strong prioritization and organization skills
Must be able to work in a fast-paced environment and can handle multiple projects simultaneously
Must have good verbal, written, and presentation skills to articulate ideas and plans clearly, accurately, and effectively with all levels of internal and external audiences
Must be a team player adept at facilitating an open exchange of ideas and know how to build win/win relationships
Ability to manage multiple tasks under strict deadlines with meticulous attention to detail
Previous experience in delivering on automation projects is a plus
Strong drive for process improvement and ability to identify ways to streamline processes.
Highly flexible and adaptable to change.
Industry: Internet