Financial Administrator Position
We are seeking a skilled and organized professional to join our finance department in Tipperary.
Key Responsibilities:
* Prepare daily bank reconciliations and lodgements for relevant companies.
* Process creditor invoices and prepare electronic fund transfers for banking online.
* Reconcile monthly creditors statements.
* Process payments via online banking system for manager approval.
* Post all bank movements into various bank accounts using accounting software.
* Maintain accurate records of bank reconciliations, petty cash, and debtors ledger.
* Prepare lodgements for the bank and handle site utilities and shared service costs.
* Assist with nominal ledger maintenance and preparation of financial reports to trial balance monthly.
* Participate in budgeting process and annual audit.
* Resolve internal and external queries concisely and promptly.
* Contribute to month-end close off, VAT reporting, and payroll cover.
Requirements:
* A relevant qualification from a recognized body is advantageous.
* Strong Excel skills are required.
* The ability to work independently and as part of a team is essential.
* Experience working within a finance department is beneficial.
* Self-motivation with a flexible attitude to work is necessary.
* Good teamwork skills with the ability to multitask.
* Strong attention to detail and numerical accuracy are crucial.
* Ability to work effectively under pressure to meet targets and deadlines.
Benefits:
* Opportunity to work in a dynamic finance department.
* Chance to develop financial administration skills.
* Competitive compensation package.