Job Summary
We are seeking a skilled financial professional to join our organization in Dublin.
Main Responsibilities
* Perform daily finance tasks, including month-end reporting and reconciliation
* Prepare annual financial statements and collaborate with auditors to ensure compliance
* Manage cash flow, banking, and treasury activities to minimize risk and optimize returns
* Improve financial controls and support system upgrades to enhance efficiency
* Contribute to budgeting, risk management, and regulatory reporting processes
Key Qualifications
* Professional accounting certification (ACCA, ACA, CPA, or CIMA)
* At least 3-4 years of experience in a similar financial role
* Strong proficiency in Excel and financial systems
* Excellent communication and organizational skills
* Prior public sector experience is an asset
About the Role
This is a dynamic opportunity to work with our team in Dublin. The ideal candidate will possess strong analytical skills and be able to work effectively in a fast-paced environment.
What We Offer
In addition to a competitive salary and benefits package, we offer a dynamic and supportive work environment.