Directing financial strategy.Ensuring prudent financial oversight and robust governance.Financial risk management.Liquidity management and treasury operations optimisation.Lead the Finance team’s operations, including management of financial risks, FX exposure, fiat & crypto liquidity management, counterparty risks and managing daily cash flowsLead oversight of treasury policies, processes, and controls to enhance asset utilisation and mitigate financial riskEstablish and maintain strong relationships internally and externally to ensure secure and efficient transaction executionCollaborate closely with Group Treasury and the broader Finance function to align with strategies across the organisationEnsure full compliance with all relevant prudential, customer safeguarding and financial regulations, including those set by the Central Bank of IrelandLead oversight of robust governance frameworks, policies, internal controls and procedures in alignment with regulatory requirements and best practicesDirect funding requirements and capital allocation strategies to optimise financial performance and capital structureCollaborate closely with the board, providing accurate and timely financial and risk management reportingDirect financial planning, budgeting, modeling, product executive business partnering and forecasting processes, ensuring alignment with the product’s strategic goalsOversee local and product-specific accounting, tax, and financial reporting activities, ensuring compliance with regulatory and internal policies