Financial Management Position
The firm seeks a skilled professional to oversee all financial aspects, ensuring accurate financial reporting and analysis, forecasting revenue and expenses, and managing budget performance.
This hybrid role offers the opportunity to work in Dublin or from a regional office, with key responsibilities including:
* Preparation of timely and accurate financial reports, including monthly statements, budget variance analysis, and cash flow projections.
* Analysis of financial data to provide insights to stakeholders for strategic decision-making.
* Development and implementation of financial models to forecast revenue, expenses, and profitability.
* Budgeting and forecasting: leading the annual process in collaboration with department heads and senior management.
* Monitoring budget performance and providing regular updates to ensure alignment with strategic goals.
* Conducting periodic forecasting to anticipate financial trends and potential risks.
* Ensuring compliance with regulatory requirements and internal policies, including tax laws, accounting standards, and industry regulations.
* Establishing and maintaining effective internal controls to safeguard assets and mitigate financial risks.
* Supervising the accounting team in day-to-day operations, including accounts payable, accounts receivable, billing, and collections.
* Reviewing financial transactions for accuracy and completeness, ensuring proper recording and classification.
Requirements:
* Minimum 5 years experience in a comparable role, essential.
* Qualified Accountant ACA/ACCA/CIMA/CPA Experience within a legal setting is an advantage.
* Ability to work under deadlines and prioritise tasks effectively.
* Strong analytical skills, attention to detail, and adherence to procedures.