Job Overview
This is a fantastic opportunity to work in a dynamic team as a Financial Support Professional. You will be responsible for various tasks including monitoring company banking, VAT and tax returns, invoice processing, reconciliation, and assisting with AR and billing.
Key Responsibilities:
* Monitor and take ownership of company banking
* Manage VAT and other tax returns
* Process invoices
* Reconcile accounts
* Assist with accounts receivable and billing
* Take meeting notes and manage the diary
* Perform office administration and filing duties
* Carry out other ad-hoc PA and office management tasks as required
Requirements:
* 3+ Years' experience working in a similar financial support role
* Exposure to office and diary management
* Strong knowledge of banking, invoicing, and taxation
* Ability to work well on your own initiative, prioritize tasks, and communicate effectively
* Other EU language an advantage but not required
* Experience working with ERP systems and working knowledge of Excel an advantage
What You'll Get:
This role offers excellent training and room to develop while working alongside the Finance Director. Hybrid working 50% of the time once settled in. Benefits include pension, support for further studies, and health allowance. The office is easily accessible from Dublin, Meath, and Kildare, and multiple main motorways.