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Finance administrator

Ardee
Comfort Keepers Ireland
Finance administrator
Posted: 11 June
Offer description

Join Our Team as a Finance Administrator!
Comfort Keepers Ireland is one of the largest home care providers in Ireland.
Our mission to provide our clients with the highest level of quality of life that is achievable.
We shall treat each of our clients and colleagues with the respect and dignity they deserve, as though we were caring for a member of our own family.
We are seeking a proactive and people-focused experienced Finance Administrator, based in Ardee, Co. Louth.
What can we Offer:

Opportunity to shape authentic, community‑led content
Supportive team environment within a well‑established organisation
Competitive salary and benefits package
Work/life balance – 37.5 hours per week (Monday – Friday 08:30 – 17:00, Finish at 16:00 on Fridays)
Birthday Off!
Career progression opportunities
Permanent Contract

What are we looking for?

Previous Accounts or Administration experience is required, with proven attention to detail and accuracy levels.
Experience maintaining financial records, processing invoices, managing payments/receipts and ensuring all financial transactions are accurately recorded and compliant with company policies.
3 years' experience in a similar role.
Payroll knowledge is desirable but not essential.
Multi‑tasking and ability to work against tight deadlines.
Comfortable working on own initiative.
Hardworking team player.
Support of the operational reporting and month‑end process.

Key Responsibilities:

Provide accounts administrative support.
Assist with daily tasks and financial duties.
Support operational reporting and month‑end process.
Ensure reports, invoices and documents are completed on time.
Perform all related tasks and activities in the accounts payable/receivable function.
Process purchase/sales invoices and payment allocations efficiently and accurately within the various company systems.
Assist with month‑end close, reconciliations, etc.
Daily posting of bank transactions and prepare bank reconciliations.
Assist with year‑end audit and related queries.

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