Cash & FX Forecasting Specialist

  • Location

    Dublin, Republic of Ireland

  • Sector:


  • Job type:


  • Salary:


  • Contact:

    Tim Ball

  • Contact email:

  • Job ref:


  • Published:

    over 1 year ago

  • Expiry date:


Brewer Morris is currently representing a leading multinational corporate with the recruitment of their Cash & FX Forecasting Specialist to be based in Dublin, Ireland.

Sitting in their global corporate treasury team this role will be responsible for creating a data driven statistical/predictive analytics enabled cash & FX forecasting tool for the business. I am looking to speak to people with an a background in quantitative analysis, applied mathematics/statistics etc with experience developing forecasting models on R, SAS, Python or equivalent.

Key responsibilities

  • Implement standards and methodologies to assess the data quality of liquidity & FX relevant data
  • Be responsible for developing, implementing industry leading liquidity forecasting methodologies to accurately forecast Group wide liquidity & FX positions;
  • Identifying forecasting variables, developing forecasting algorithms for each liquidity component using regression techniques (Model building)
  • Consolidate & net forecast liquidity & FX positions over short & medium term horizons

Requirements and skills

  • Thorough knowledge of statistical forecasting techniques
  • +2 years' experience on developing forecasting models on R, SAS, Python or equivalent

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