Our Client, a reputable public sector company in Dublin, is looking to recruit a Finance Manager to work within their Finance Department. This is a permanent role offering a competitive salary with benefits and a hybrid working opportunity.
The Role:
* Preparation & Analysis of periodic Balance Sheet, Working Capital & Cashflow reports for internal and external use
* Produce Key periodic reports across all sections of the Balance Sheets.
* Develop new reports for the management of Balance Sheet items as required.
* Preparation of budgets, forecasts & 5 Year Plans as required each year.
* Preparation and completion of financial year end tasks.
* Liaise with Auditors both Internal & External in response to Audit queries and implementation of recommendations.
* Ensure effective internal controls operate within the business unit
* Review and update documentation associated with control processes & procedures across the IM Business Units.
* Identify opportunities for process improvements and implement changes to increase efficiency, streamline workflows and controls.
* Liaise with Key Business Managers on Balance Sheet control issues.
* Respond to queries from both external and internal stakeholders.
* Oversee implementation of Management Actions in response to Audit recommendations.
* Engage and contribute to design, planning and user acceptance testing (UAT) of new systems as required.
* Provide information in accordance with the agreed reporting calendar.
* Management of Fixed Assets, Stock, Debtors & Creditors, Provision Accounts for IM.
* Periodic reconciliation of Balance Sheet Items including Trade Creditor, GR/IR & Intercompany Balances & Supplier Advanced Payments.
* Provide advice to the Business Finance Team on FRS102 updates.
Requirements:
* Candidate must hold a Professional Accounting Qualification with a minimum of 7 years PQE.
* Proven IT skills & knowledge specifically SAP (FI, CO, MM, PS).
* Excellent skills in Microsoft Office with a particular proficiency in the Excel package.
* Demonstrated ability in the preparation of high quality, timely and consistent financial reports for internal and external use.
* The ability to lead, take ownership of projects and show initiative.
* Detailed understanding of FRS102.
* Detailed Knowledge of Revenue PAYE, VAT, BIK taxation guidelines.
* Demonstrated ability in problem solving and change management issues.
* A knowledge of the SAP ERP Systems – Financial and Controlling modules.
* Experience is ERP/ System upgrades and Implementations.
Please click the link below to apply, call Ray Brennan on 0830528677 or alternatively send an up to date CV to ray.brennan@peglobal.net
***Please note our client cannot assist with any visa sponsorship and candidates must have the correct visa to live and work in Ireland***
#J-18808-Ljbffr