About us
Circle Voluntary Housing Association was set up in 2003 and is a leading provider of social housing in Ireland. Our vision is to make a real difference by delivering quality homes and innovative integrated housing solutions to individuals and families in Ireland. We are passionate about our people and the delivery of a tenant first service.
Our team members are the secret element of our success. Their experiences, competencies, values, knowledge, and perspectives are greatly valued and have significantly contributed to Circle delivering over 2,500 homes. They deliver services to over 5,000 people and help create thriving communities.
We are dedicated to finding the right people who embrace our purpose, vision, and values. In return we will support you to learn, grow and excel in an exciting, flourishing, diverse organisation. We are committed to fostering an inclusive and collaborative work environment, which values every person who works with us and all of those who live in our homes and communities.
Reflecting the growing diversity of the communities in which we work, we welcome applications from people of all cultures, nationalities, genders, members of the LGBTQ+ community and any background traditionally marginalised in society.
About the role
The Management Accountant will play a central role in strengthening financial insight, performance reporting, and support decision making in Circle VHA.
The purpose of the role will be to deliver high-quality financial information and financial reporting for internal and external purposes.
This role is central to supporting Circle VHA’s:
Ambitious development programme
Increasing complexity in financial reporting requirements
Enhanced expectations around governance, transparency, and performance reporting
The Management Accountant will be a key enabler of data-driven decision-making across the organisation.
Key Responsibilities
Preparation of monthly and quarterly management accounts, and segmental reporting, ensuring accuracy, timeliness, and clarity
Monthly balance sheet reconciliations
Monthly income & expenditure variance analysis
Assist with month-end process including journals, accruals, and prepayments
Support the Financial Controller in maintaining robust financial controls and reporting integrity
Support the preparation of annual budgets
Monitor financial performance against budget and forecasts
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