Job Overview
The Financial Manager will oversee the company’s day-to-day accounting operations, ensuring accurate and timely financial reporting, month-end close processes, and compliance with accounting standards. The role requires a detail-oriented individual.
Working Pattern: Monday to Friday, 8:30-17:00
Location: Dublin, Ireland or Loughrea, Galway
Key Accountabilities
1. Take responsibility for the Month-End timetable, ensuring all relevant stakeholders are aware of timescales and that reports are produced on time and in line with agreement and Shareholder deadlines. Strive to reduce the month-end timescales by implementing improvements in processes and systems.
2. Manage the cashflow reporting and forecasting process within the Central Finance team, including collating responses from Commercial, Operations, and Finance regarding likely billing, collection, and payments.
3. Minimise risk within the business by reviewing and controlling all items on the balance sheet.
Roles & Responsibilities
* Ensure accurate and timely reporting of key financial information, including financial analysis, projections, budgets and variances. (weekly and monthly).
* Preparation, analysis, and posting of journals at the end of the month.
* Overseeing monthly management accounts.
* Ensure compliance with corporate policies and accounting standards.
* Preparation and analysis of balance sheet reconciliations at the end of the month.
* Enhancement of existing processes and development of new ones to ensure the most efficient completion of duties.
* Responsible for budgeting and cash forecasting.
ESSENTIAL:
Qualified Accountant (ACA, CIMA, ACCA)
* Excellent verbal and written communication skills
* 2-4 years relevant post-qualification experience.
* Proven experience in managing a finance team and driving best practice
* Proven experience in managing compliance with Internal Control systems and IFRS
* Ability to prioritize work in a fast-moving environment
* SAP/Sage/NAV or other major ERP Systems experience is desirable.
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