Finance Manager - Based at Dublin Airport ( With Parking) Role reports to CFO Responsibilities Financial Management & Reporting: Prepare, analyse, and present accurate monthly, quarterly, and annual financial reports to senior management. Oversee the preparation of statutory accounts and ensure compliance with local and international accounting standards (IFRS, FRS102). Lead the annual budgeting and forecasting processes, ensuring alignment with business objectives. Prepare cost centre budgets, distribute monthly, analyse and manage variances with key stakeholders. Perform financial analysis and provide actionable insights to support business decisions. Commercial contract input, review and alignment Create business pricing model to ensure profit margins achieved Manage, monitor and oversee the company payrolls, including software, systems, process, auditing and controls. Team Leadership Manage and mentor the finance team, providing guidance, support, and development opportunities. Oversee day-to-day financial operations, ensuring adherence to internal controls, accounting policies, and best practices. Foster a collaborative and high-performance environment within the finance team. Cash Flow & Budget Management Monitor and optimise cash flow, ensuring sufficient liquidity for operational and strategic initiatives. Manage working capital and ensure accurate cash flow forecasting. Work closely with other departments to track and manage departmental budgets. Collaboration, input, review and monitoring of Operational KPIs from Planning Department. Compliance & Risk Management Ensure compliance with Irish tax laws, regulations, and relevant financial reporting standards. Oversee the preparation and submission of VAT returns, corporation tax returns, and other regulatory filings. Identify and mitigate financial risks, ensuring robust internal controls and audit procedures are in place. Manage annual financial audits to ensure full compliance with required standards. Strategic Contribution Partner with senior management to drive business strategy, identifying financial opportunities and risks. Participate in key projects, such as system implementations, process improvements, and mergers/acquisitions. Provide financial expertise and advice to senior leadership on key initiatives. Required Qualifications & Experience ACCA Qualification (or equivalent) is a must. A minimum of 5 years management experience in a finance or accounting role, ideally within a corporate or multi-national environment. Strong knowledge of Irish accounting standards, tax laws, and regulatory requirements. Proven ability to lead and develop finance teams. Experience with financial planning, forecasting, budgeting, and cash flow management. Proficiency in accounting software (e.g., SAGE, SAP, Oracle, or similar) and Microsoft Office Suite (Excel in particular). Excellent analytical, problem-solving, and organisational skills. Strong communication skills, both written and verbal, with the ability to present complex financial data to non-financial stakeholders. A proactive, results-oriented approach to work, with the ability to manage multiple priorities in a fast-paced environment. Desirable Skills Experience with ERP systems and financial reporting software. Knowledge of IFRS and exposure to international financial reporting standards. Ability to manage projects and work collaboratively across departments. What We Offer Competitive salary and benefits package. Opportunities for professional development. A dynamic, collaborative, and supportive working environment. The chance to be part of an innovative company. Skills: Finance Manager Senior Financial Accountant management accountant Benefits: Pension Fund Parking healthcare Bonus