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Right Group is a leading provider of Electrical and Mechanical Engineering solutions in the water and wastewater sectors.
We are currently seeking a proactive, collaborative, and forward-thinking Financial Controller to lead our Finance Team at our head office in Castleisland, Co. Kerry.
This role is pivotal in maintaining financial stability while supporting the business in achieving its strategic goals.
Key Responsibilities Prepare annual accounts and monthly management accounts.
Provide financial reporting for the Management Team and Managing Director.
Conduct monthly cash flow analysis.
Process payroll and reconcile cash books.
Perform balance sheet and intercompany reconciliations.
Handle journal entries, prepayments, and accruals.
Maintain Fixed Assets registers.
Oversee debtors and creditors, including queries, reconciliations, and processing payments.
Monitor the PO system from sign-off to matching delivery dockets and invoices.
Manage and administer statutory returns (VAT, PAYE, RCT, and CIS).
Review and analyze Work in Progress (WIP) and costings; prepare detailed WIP reports and implement effective WIP management systems.
Assist with tender preparation.
Oversee the annual operating budget of the group.
Review costings and analyze various cost centers to ensure cost-effective processes.
Perform ad hoc general accounting tasks as required by the Managing Director.
Key Requirements Qualified accountant with at least 3 years experience in a similar role (Engineering or Construction related beneficial but not essential).
Enthusiastic and confident with strong interpersonal communication skills.
Self-starter with the ability to operate independently.
Strong IT skills and proficiency in MS Office programs, particularly Excel.
Self-motivated with a proactive attitude to implementing solutions and problem-solving.
Strong attention to detail with the ability to multitask, prioritize workload, and work to tight deadlines while maintaining accuracy.
Sage experience essential.
Experience with invoice discounting desirable.
Remuneration Excellent remuneration package including a performance-related incentive scheme.
Negotiable depending on experience.
Skills Excel Sage Management Accounts Financial Analysis & Reporting Cash Flow Analysis Statutory Returns Budget Management Seniority level Mid-Senior level Employment type Full-time Job function Accounting/Auditing and Finance #J-18808-Ljbffr