Finance Career Opportunity
This is an exceptional chance to enhance your professional skills by joining a dynamic finance team in a thriving manufacturing organization based in North Dublin.
Key Responsibilities:
1. Prepare monthly management reports, budgets, forecasts, and 3-year business plans.
2. Manage the company's treasury function, including cash-flow forecasting and foreign currency exposure management.
3. Ensure compliance with tax regulations, including VAT, payroll, and corporate tax filings.
4. Provide insights into business performance through data analysis and interpretation.
5. Support internal control processes and propose improvements.
Requirements:
* A qualified accountant with 3-4 years of experience working in industry.
* Proven expertise in preparing management accounts.
* Highly organized, excellent time management, and ability to meet deadlines.
* Attention to detail and accuracy are essential.
* Strong commercial awareness and strategic thinking abilities.
* Ability to analyze and interpret financial and non-financial data.