The Company Talentedge are proud to be partnering with a well renowned Multinational company headquartered in Dublin 2.
The Role Key Responsibilities Strategic & Operational Efficiency: Collaborate with senior leadership to refine financial structures and improve workflow efficiencies.
Lead transformation initiatives, implementing process enhancements and cost-saving measures.
Introduce automation tools to streamline financial and operational procedures.
Ensure compliance with regulatory requirements and oversee financial audits.
Identify opportunities to optimise financial reporting structures and align them with business objectives.
Undertake additional duties as required to support the business.
Financial Oversight & Reporting: Manage timely preparation of financial and management reports for institutional clients.
Ensure the accuracy and integrity of financial data, including service charge accounts and property transactions.
Develop and monitor KPIs to align financial reporting with strategic objectives.
Supervise key reconciliations and ensure financial documentation meets compliance standards.
Assist with budget planning, forecasting, and long-term financial strategies.
Maintain and oversee financial relationships with internal and external service providers.
Support Accounts Payable and Cash Management teams in resolving financial queries.
Essential Skills & Experience Fully qualified ACCA/ACA/CIMA accountant with a minimum of 5 years' post-qualification experience.
Big 4 Qualifed Accountant with 5 years post qualification.
Extensive knowledge of financial principles, operational best practices, and process improvement.
Strong analytical skills with the ability to develop innovative financial solutions.
Proven experience in overseeing accounting functions and financial reporting for multiple entities.
Familiarity with financial systems such as Dynamics 365, Yardi, Cube and Salesforce.
Excellent communication and stakeholder management skills.
Ability to work under pressure, manage multiple tasks, and meet tight deadlines.
High proficiency in Microsoft Office, particularly Excel and Word.
Skills: Financial Accounting Balance Sheet Management Financial Reporting Management Financial reporting Budget Process Financial analysis