Here at Three, we've done things differently since day one.
We take the script and rip it up, we're a big-hearted energetic bunch, striving for a better-connected life.
The energy of our people, the pace at which we operate, and the thrill of making bold moves is exhilarating and addictive.
Magic happens when we power the connections that millions value, and you can feel it...
When these things combine, phenomenal things happen.
We encourage our employees to face their weaknesses, to really open themselves up to new tasks and projects in a supercharged and rich learning environment.
We want you to become the best version of yourself.
Join us as a Financial Reporting Lead Reporting to the Head of Financial Reporting and Planning you will manage the Financial Reporting team and have responsibility for the preparation, accuracy and integrity of month end and quarterly reporting, cashflow, statutory reporting and audit.
What else it involves: Group Reporting The preparation, review and submission of the consolidated quarterly group reporting pack and supporting financial analysis schedules.
Ensure Consolidated Accounting Statement (CAS) is properly reviewed, complete, accurate and submitted to group timelines, Co-ordination and oversight of the completion of the group month-end management reporting process.
Ensure Monthly Performance Statement (MPS) and supporting financial analysis schedules are properly reviewed, complete, accurate and submitted to group timelines, Ensure all group reporting is completed in accordance with IFRS and group policies, including a full reconciliation to underlying ledgers and supporting schedules and disclosures.
Manage all communications, expectations and submissions and requests to the Hong Kong finance teams, ensuring that associated and ad-hoc reports are delivered in timely and accurate manner.
Responsible for the management, accuracy and completeness of the intercompany and intra-company processes.
Ensuring all inter-company and intra-company positions are agreed.
External Reporting and Statutory Audit Preparation of the statutory accounts for all entities in the Irish group consistent with local GAAP, group accounting policies and to group deadlines.
Oversight for the monthly balance sheet reconciliation reporting process for the whole company.
Ensuring all balances sheet reconciliations are completed on time, all differences are identified and tracked to resolution.
Ensure completion and review of all monthly Financial Reporting balance sheet reconciliations.
Ensure all reconciliations items are clearly identified by team and actioned.
Responsible for organisation and co-ordination of the planning and operation of the external audit.
Key point of contact for the auditors.
Ensure communication flows and information moves effectively between Three and auditors.
Ensure all audit reporting completed to group deadlines.
Cashflow Responsible for all aspects of cashflow reporting and forecasting Responsible for completion and submission of monthly cash flow reporting.
Responsible for the preparation, accuracy, reporting and submission of monthly and quarterly cash flow forecasts and budgets.
Work with business owners to analyse actual results against budget / forecast, investigate variances and prepare monthly commentary & slides on cash flow performance.
Other Responsible for continuous improvement of overall financial reporting processes and procedures Assist members of the wider Finance team with understanding and application of group accounting policies and treatments as well as the application of IFRS and Irish GAAP.
Management Manager of Financial Reporting team.
One direct report The skills we are looking for: Must Have: Qualified accountant with 1+ years post qualified experience.
Big 4 training.
Experience of group reporting functions.
Excellent technical accounting skills.
Experience of financial and management accounting and control Experience of reporting and analysis Attention to detail First class analytical and communication skills Nice to Have: Experience of working in/with a mobile telecommunications network operator Experience within an internal control environment MS Office Excel to produce extended reporting.
Experience of Oracle Financial Systems Sort of person we are after: Self-motivated and driven Team player Attention to detail First class analytical and communication skills Staff management skills Proven Commercial awareness and experience Benefits of Working at Three Flexible working with our new Hybrid model, our employees will enjoy more flexibility working from home and our office locations (3 days per week office based).
Please see job description for the office location of this role.
Competitive salary, annual performance bonus & pension contribution.
25 days holidays plus 2.5 company days.
Annual Leave buy or sell (buy or sell up to 5 days AL each year) Healthcare Insurance through our flexible benefits programme.
Life assurance, phone & laptop, subsidized canteen.
Access to learning & development tools.
Free on-site parking.
There's a lot more to us than meets the eye.
You may think you know us, but we're full of surprises.
Intrigued?
Join us and Be Phenomenal.
#Jobs - Apply now at: Three Ireland is proud to be an equal opportunities employer.
If you do not 'tick every box' in the job description above, there are likely other valuable attributes and skills you have that would make you a great fit for the team.
If you feel this role is for you, then please apply!
We are committed to equal employment and growing a diverse workforce.
We embrace those of any race, gender identity, sexual orientation, age, religion, disability, marital status, family status, civil status or membership of the traveler community, and we want our teams to reflect this!