We are seeking an experienced finance professional to join our team. In this role, you will be responsible for gathering and monitoring financial data, including sales revenues, costs, liabilities, and assets.
You will support the preparation of monthly, quarterly, and annual statements, including balance sheets, income statements, and cash flows. Additionally, you will manage tax payments, oversee bank and balance sheet reconciliations, and prepare audit files and support liaising with auditors.
Other key responsibilities include organizing internal audits, supporting the preparation of budgets, monitoring and reporting on accounting discrepancies, conducting detailed risk analyses, and analyzing financial trends. You will also be responsible for preparing timely VAT/Intrastat returns through ROS and performing general administration and office filing tasks as required.
Requirements for this role include a minimum of 2/3 years' experience in overall accounts, with an IATI qualification being an advantage. You should have a solid understanding of basic accounting principles, fair credit practices, and collection regulations. Excellent administration and data entry skills, as well as full knowledge of MS Office Suite and Revenue online procedures, are essential. Proficiency in Netsuite is an advantage but not essential. You should also be able to work as part of a high-performing team as well as on your own initiative.