Overview
Commercial Financial Accountant — Dublin 11 (Hybrid – 2 days office / 3 days home)
* Location: Dublin 11 (Hybrid – 2 days office / 3 days home)
* Salary: €65,000 – €75,000 + Benefits
Are you a motivated accountant looking to step into a commercially focused finance role with strong exposure to senior leadership? We’re partnering with a highly reputable and growing organisation in Dublin 11 seeking a Commercial Financial Accountant to join their team. Reporting to the Commercial Finance Manager, this role combines hands-on financial reporting with business partnering, providing valuable insight to the Finance Director and wider management team.
Salary & Benefits:
* €65,000 – €75,000 (DOE)
* Hybrid working – 2 days in office / 3 days remote
* Free onsite parking
* Pension scheme
* Canteen facilities
* Ongoing professional development and training support
Key Responsibilities
* Month-End & Year-End: Prepare complete month-end and year-end accounts for key trading entities.
* Month-End & Year-End: Deliver management accounts by Day 5, with clear variance analysis for the Commercial Finance Manager.
* Reporting & Reconciliations: Produce accurate balance sheet reconciliations and align management accounts with statutory reports.
* Reporting & Reconciliations: Develop and enhance monthly management packs to support decision-making.
* Reporting & Reconciliations: Prepare daily, weekly, and monthly performance reports.
* Audit, Tax & Compliance: Manage the statutory audit process and coordinate corporation tax requirements.
* Audit, Tax & Compliance: Ensure compliance with financial controls and regulatory standards.
* Commercial & Business Partnering: Act as a Finance Business Partner to key internal teams and senior management.
* Commercial & Business Partnering: Support budgeting and forecasting, highlighting cost-saving and margin improvement opportunities.
* Commercial & Business Partnering: Deliver insights that influence business performance and profitability.
* Inventory & Cashflow: Monitor inventory variances and participate in stock audits.
* Inventory & Cashflow: Develop multi-currency cashflow forecasting templates and analysis tools.
* Inventory & Cashflow: Support ad hoc financial projects and group reporting as required.
Experience & Requirements
* Qualified Accountant (ACA, ACCA, CIMA, or CPA).
* 0–3 years post-qualified experience (practice or industry).
* Strong Excel skills with proven analytical ability.
* Excellent attention to detail and organisational skills.
* Confident communicator, capable of partnering with senior stakeholders.
Why Apply?
This is an excellent opportunity to gain broad financial and commercial exposure, work closely with an experienced leadership team, and join a supportive, forward-thinking business that values continuous improvement and professional growth.
For more information please apply through the link provided for the attention of Valerie Briody call Osborne Recruitment on or email. If you are interested in finding out more about the above role and would like to be considered for other suitable roles, please attach your CV via the link provided. Please submit your updated CV in Word Format. If you are living in Ireland and hold a valid work permit we would love to hear from you; if you do not hold a valid work permit we will not be in a position to assist you with your job search. Osborne are proud to be an Equal Opportunity Employer.
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