Our client is a well-established and growing organisation based in North Dublin.
They are seeking a motivated and organised finance professional to support the Finance Manager with the preparation of monthly management accounts, financial analysis, and the smooth running of day-to-day finance operations.
The ideal candidate will be commercially aware, detail-oriented, and capable of working both independently and as part of a team.
Key Responsibilities Prepare monthly management accounts, balance sheet reconciliations, and financial reporting Collaborate with operational and commercial teams to analyse financial performance and cost variances Reconcile weekly and monthly margin reports, investigating and explaining key variances Manage and oversee accounts payable and receivable activities Produce weekly KPI reports and provide insightful financial analysis Ensure the timely and accurate completion of all statutory and regulatory filings Maintain the fixed asset register and track capital expenditure against approved budgets Assist with budgeting, forecasting, audits, and the enhancement of internal controls Support margin improvement initiatives and cost optimisation projects Contribute to ERP system enhancements and group-wide finance initiatives Provide ad hoc financial analysis and support as required Candidate Requirements Newly Qualified accountant, with month-end accounts preparation experience High level of accuracy with strong analytical and problem-solving skills Excellent communication and interpersonal skills Well-organised, self-motivated, and able to manage multiple priorities Comfortable working independently and as part of a collaborative team Interested in this opportunity?
Send your CV to Anne Quinn, Manager, Skills: 'ACCA' 'Accountant' 'Management Accountant' Benefits: Paid Holidays Parking Pension Bonus