We are seeking a highly skilled finance professional to join our team in South Tipperary, Ireland.
Key Responsibilities:
* Prepare daily bank reconciliations and lodgements for all relevant entities.
* Process creditor invoices and prepare electronic fund transfer payments through online banking platforms.
* Reconcile monthly creditors statements to ensure accuracy and compliance.
* Process payments through the online banking system with managerial approval.
* Use accounting software to post all bank movements into various bank accounts across multiple currencies.
* Maintain accurate bank reconciliations and petty cash records to ensure seamless financial operations.
* Prepare lodgements for the bank and handle necessary transactions to meet deadlines.
* Maintain the debtors ledger, including sales invoicing where required, to optimize revenue streams.
* Recharge site utilities and shared service costs in a timely manner.
* Assist in maintaining the nominal ledger and preparing trial balance accounts monthly to ensure financial transparency.
* Contribute to budgeting and annual audit processes to inform strategic business decisions.
* Communicate effectively with internal and external stakeholders to resolve queries promptly and efficiently.
* Support month-end close off, VAT reporting, and payroll functions to meet regulatory requirements.
The ideal candidate will possess strong Excel skills, be able to work independently and as part of a team, have experience working within a finance department, and demonstrate self-motivation, flexibility, and attention to detail.