Finance Manager
This is a 4-day week, hybrid role based in Galway. The successful candidate will be responsible for:
Key Responsibilities:
* Ensuring all invoices and receipts are accurately processed.
* Processing journals on a monthly basis to ensure correct accruals and provisions or to make corrections as necessary.
* Preparing the annual cash flow prediction and updating it on a monthly basis.
* Ensuring the purchase ledger function is complete and that coding and inputting of all documentation into the financial system for subsequent payment is carried out.
* Completing bank reconciliations each period and acting on variances.
* Oversseeing all credit card and expenses returns.
Additional Duties:
* Company Secretary duties as required.
* Providing financial reporting (P&L and Balance Sheet) and related information to Board members as requested.
* Preparing Board Reports for board meetings as required.
* Oversseeing payroll function to ensure payments are accurate and timely, with all appropriate deductions taken.
* Oversseeing pension contributions and payments to be paid and notified accurately.
* Management of Direct report(s).
* Leading and managing staff to ensure goals are achieved and services are provided in an effective and timely manner.
Requirements:
* Accountant with at least 5 years' financial management experience.
* Exposure to audit processes.
* Proficiency in Microsoft Office, including advanced Excel, and relevant software applications.
* Proficiency in financial software packages.