Location: Dublin
Job Type: Permanent
Salary: €50k – €70k
Role Overview
Involved in management accounts, reconciliations, budgeting, cashflow management, and supporting key projects. Provides financial insight to aid strategic and operational decision-making.
Key Responsibilities
- Financial Management & Reporting:
- Maintain accurate records across multiple sites.
- Prepare monthly management accounts, variance analysis, consolidated reports, statutory accounts, VAT returns, and balance sheet reconciliations.
- Support audits and review payment runs.
- Budgeting & Forecasting:
- Develop annual budgets with managers.
- Monitor performance against budgets, highlight variances, recommend actions.
- Prepare cashflow forecasts to ensure liquidity.
- Payroll Oversight:
- Oversee payroll, ensuring accuracy and budget alignment.
- Business Support:
- Provide financial insight for decisions and projects.
- Partner with operations managers to strengthen financial accountability.
- Implement and monitor internal financial controls.
Requirements
- Qualifications: Fully qualified accountant (ACA, ACCA, CIMA, CPA).
- Experience: 3+ years in industry; multi-site/healthcare experience an advantage.
- Technical: Strong accounting knowledge; experience with systems such as Xero, Dext, Fathom (advantage).
- Skills: Analytical, detail-oriented, organised, deadline-driven, strong communicator, integrity with sensitive info.
Location & Hours
- Head Office in South Dublin occasional site visits.
- Full-time, 37.5 hrs/week, with some flexibility (1-2 days WFH).