Overview
Role is pretty much a stand alone role reporting into the CFO/GM.
Qualifications
* Accountancy qualification from a recognised accountancy body
* Strong IT and analytical skills
* At least 2 years industry or practice experience
* Capable of working on own initiative and possess good analytical skills.
Responsibilities
* Preparation of Monthly Management Accounts (P&L, Balance Sheet, Cash Flow Statement)
* Balance Sheet Reconciliations & Nominal Accounts Analysis
* Maintenance of the Fixed Asset Register
* Preparation of Cost Centre/Departmental Reports
* Monitoring compliance with corporate policies, e.g. Cash Management
* Daily/Weekly/Monthly Cash Reconciliations from various depots
* Preparation / filing of statutory returns for Revenue
* Preparation of budgets and forecasts.
* Work individually and as part of a team to generate efficiency in the use of finance-based IT systems and deploy training as required.
* Other ad hoc financial reporting/projects as may arise.
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