Senior Financial Controller
Location:
Dublin, Ireland (Hybrid)
Reports to:
Chief Operating Officer
About Us
Our client is a growing, professional Services company headquartered in
Dublin
, with remote staff across the world, specialising in digital transformation and project management. Our mission is to help organisations implement solutions to support and improve their operations.
As a dynamic and innovative tech company, we combine cutting-edge technology with deep industry expertise — and we're now seeking a talented
Financial Controller
to play a key role in shaping our financial operations as we continue to scale.
About the Role
This is an exciting opportunity for a
hands-on, detail-oriented Financial Controller
who thrives in a fast-paced, entrepreneurial environment. Working closely with the Senior Management Team, and reporting to the COO, the successful candidate will take ownership of the company's financial management and reporting, ensuring accuracy, compliance, and efficiency across all regions.
You will oversee management accounts, weekly and monthly overall accounting operations, from payroll, banking reconciliations, and general bookkeeping, while supporting strategic financial planning and analysis, to support international operations. This role requires both operational expertise and strategic insight — ideal for someone eager to grow with a scaling tech business.
Key Responsibilities
* Prepare and deliver
monthly management accounts
with clear analysis and commentary for leadership.
* Plan and structure M&A
actions
* Manage financial planning and structured reporting
* Prepare
financial forecasts,
budgets, and investor reports
.
* Provide financial insight to leadership to support
strategic decision-making
.
* Liaise with external accountants, auditors, and advisors.
* Recommend
financial system improvements
and automation as the company scales.
* Oversee all general accounting tasks from bookkeeping, supervising payroll and third party providers, ensuring compliance and efficiency.
* Conduct bank reconciliations, monitor cash flow, and manage multi-currency accounts.
* Manage the accounts payable and receivables process, ensuring debtors and creditors are chased and reconciled.
* Ensure compliance with
local tax, accounting, and regulatory requirements
.
Key Requirements
* Minimum
10 years' experience
in a similar accounting or finance role, ideally within a
technology
environment.
* Experience with
management accounts, financial planning and forecasting, as well as acquisitions
is essential.
* Ideally
part-qualified
(ACCA, CIMA, or equivalent) or qualified by experience.
* Experience working with
multi-entity or multi-currency operations
.
* Strong knowledge of accounting & payroll software and
expert Excel skills
.
* Excellent attention to detail, organizational skills, and problem-solving ability.
* A proactive, flexible, and collaborative approach — comfortable in a
fast-moving team
.
* Strong communication skills and the ability to present reports to leadership and partners.
Why Join Us
At our company, you'll have the opportunity to join a dynamic and senior professional team, to
shape financial operations
while working alongside passionate innovators in professional services. You'll enjoy:
* A
collaborative, forward-thinking culture
where ideas are encouraged and ownership is valued.
* A
great
hybrid working environment
based in our Dublin HQ just 1 day a week.
* The chance to
boost your career
taking on more responsibilities as the company expands internationally.
* Very competitive compensation package, aligned with your experience and expertise.
If you're an experienced finance professional looking to make an impact in a cutting-edge technology company with strong expansion plans, we'd love to hear from you.
Apply now and help us build a strong future.