Job Overview
Our client is a nationally recognised construction company delivering projects from large-scale infrastructure to smaller assignments. With a team of certified professionals, they consistently exceed client expectations while maintaining the highest standards of quality, safety, and operational excellence. Operating under ISO-aligned systems for Health & Safety, Quality, and Environmental compliance, they value transparency, traceability, and efficiency. Leveraging decades of industry expertise, our client delivers exceptional results, ensuring customer satisfaction, repeat business, and strong referrals.
They are now seeking an experienced and dynamic Chief Financial Officer to join their team. The successful candidate will be responsible for driving financial strategy, preparing monthly management accounts, overseeing cash flow and financial controls, supporting business planning and budgeting, and ensuring compliance with tax and reporting standards.
The Chief Financial Officer will work closely with the Managing Director and cross‑functional teams to ensure operational efficiency, financial robustness, and continued business growth, while maintaining the highest standards of quality and client satisfaction.
Key Responsibilities
Financial Strategy & Planning
Develop and implement the company's financial strategy, working closely with the Managing Director and Senior Leadership Team to align financial objectives with business goals.
Preparation of the Board Pack and reporting to the Board of Directors monthly on the company’s management accounts, cashflow and forecasts.
Working closely with the Senior Management team to guide and provide strategic direction to ensure that financial targets, cost control measures, and profitability goals are met across all projects.
Support business planning, budgeting, and strategic decision-making.
Oversee margin review, pricing strategy, and financial forecasting.
Financial Planning, Budgeting, and Forecasting
Lead the creation of the company-wide annual budget, ensuring alignment with strategic business goals and ensuring the input of the wider Senior Management team on project-specific financials.
Ensure strong cash flow management across the company, collaborating with the Senior Management team to monitor cash requirements for projects and operations.
Monitor and adjust financial forecasts based on project progress and market conditions, ensuring the Commercial Manager provides accurate updates from the project level.
Cost Control and Profitability Optimisation
Working collaboratively with the Senior Management team on the following:
Cost control measures to ensure that projects are completed within budget and that profit margins are maintained.
Review and approve project budgets, ensuring that they align with the company’s overall financial targets.
Develop strategies to increase profit margins, using insights from the Senior Management teams project data and adjusting pricing or cost structure as needed.
Perform variance analysis against budget and historical data, providing actionable insights for corrective actions and operational improvements.
Operational Oversight
Oversee the consistency of month-end closes and ensure timely and accurate work‑in‑progress reporting
Ensure correct identification and management of financial risks in contracts (e.g. changes in scope, payment delays, disputes) and put in place contingencies to mitigate these risks
Evaluate and improve processes to prevent leakage due to inefficiencies, such as overtime management or billing lag.
Oversee all office administration and IT activities, ensuring both functions operate efficiently and support the wider business.
Core Skills/ Attributes
Leadership and team management
Strategic thinking and commercial acumen
Analytical and problem‑solving ability
Excellent communication and stakeholder management
High integrity and strong corporate governance experience
Hands‑on, proactive approach with ability to drive projects forward
Team player, building and maintaining strong cross‑functional relationships
Qualifications
Fully qualified – ACA, ACCA, CIMA or CPA
12+ years’ financial experience in a senior or similar role, at least some of which is in the construction sector
Strong knowledge of financial reporting standards, cash flow modelling, and performance analysis specific to the construction sector.
In‑depth understanding of construction contracts, risk management, and pricing strategies.
Experience with strategic financial planning, including forecasting, budgeting, and growth alignment.
Strong operational insight and ability to integrate financial systems with projects to drive profitability.
Sounds like a good fit? Contact Sarah Kinsella on 087 696 0966 or sarahkinsella@rbk.ie today to learn more about this exciting opportunity.
#J-18808-Ljbffr