Finance Manager – 4 day week – Hybrid – Galway
Key responsibilities:
1. Ensure all invoices and receipts are correct.
2. Process journals on a monthly basis to ensure correct accruals and provisions or to make corrections as appropriate.
3. Preparation of the annual cash flow prediction and updating it on a monthly basis.
4. Ensure purchase ledger function is complete and that coding and inputting of all documentation to the financial system for subsequent payment is carried out.
5. Complete bank reconciliations each period and action variances.
6. Oversee all credit card and expenses returns.
7. Company Secretary duties as required.
8. Provide financial reporting (P&L and Balance Sheet) and related information to the Board members as requested.
9. Prepare Board Reports for board meetings as required.
10. Oversee payroll function ensuring payments are accurate and timely and that all appropriate deductions are taken.
11. Oversee pension contributions and payments are paid and notified accurately.
12. Management of Direct report(s).
13. Lead and manage staff to ensure goals are achieved and services are provided in an effective and timely manner.
14. Develop functional plans and measures to assess and improve performance.
Requirements:
1. Accountant with at least 5 years of financial management experience.
2. Exposure to audit processes.
3. Proficiency in Microsoft Office including advanced Excel and relevant software applications.
4. Proficiency in financial software packages.
For a confidential discussion and more information on the role, please contact Noeleen Stewart.
Skills:
Accountant, Finance Manager, ACA/ACCA/CIMA
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