As a Senior Financial Manager, you will play a crucial role in the leadership of our organization's financial functions.
Job Description
This position is responsible for managing cash flow and treasury, including banking relationships. You will also lead the annual audit process, oversee month-end close, and manage WIP reporting and variance analysis.
The ideal candidate will have a strong background in accounting and taxation compliance, with experience in managing finance functions in a project-based environment. They will also possess excellent communication and interpersonal skills, with the ability to manage multiple priorities and deadlines.
Key Responsibilities:
* Manage cash flow and treasury, including banking relationships
* Lead the annual audit process
* Month end close, including AR/AP/Payroll/Bank and balance sheet reconciliation
* WIP reporting and variance analysis to budget on all projects
Requirements:
* Qualified accountant with a minimum of 3 years' PQE in the construction/engineering industry
* Experience in cash flow management and managing costs in a project-based environment
* Ability to manage finance function in a hands-on capacity, in a manual, paper-based environment
What We Offer:
* Salary of up to €75,000
* 5% pension
* Discretionary bonus
* 20 days annual leave
* Flexible working hours
Career progression opportunities are excellent, with potential to automate the finance function and increase remote work capabilities.