You will be responsible for the day-to-day accounting activities, including preparation of monthly financial reports, analysis of financial information and other tasks as needed to support the expansion plans of the company.
Reporting shall include preparation of accounts for multiple entities.
Role & Responsibilities:
Produce timely and accurate month end reporting packs to management;
Provide variance analysis, commentary, and insight on financial results and present these results to management as required;
Manage the monthly KPI reporting at the executive level
Produce Bank Reconciliations on a weekly basis;
Review the financial expenditure within the company and identify ways to reduce costs;
Ensure inter-company reconciliations are completed and reviewed at month end;
Manage the monthly payroll reconciliations for all associated costs;
Produce the monthly/bi-monthly PAYE/PRSI, VAT, Returns for the business;
Posting of the monthly payroll journal and reconciliation of the payroll control accounts;
Create efficiencies through continuous improvement of processes;
Manage the annual audit, tax and PSRA compliance requirements;
Manage the annual budgeting process providing insight and analysis where required.
Motivate and coach direct reports.
Maintain and cultivate excellent relationships with all stakeholders of the business including clients, employees, suppliers, auditors and bankers;
Required Education, Skills and Qualifications
Required Minimum Experience / Skills:
Qualified Accountant ACA/ACCA
Good technical knowledge of Irish and UK Reporting Standards
Excellent time management
Advanced Excel Knowledge
Ability to multi-task and meet timelines
Strong oral and written communication skills
Russian, Polish, Romanian speaking.
If this is something you are interested in or would like to discuss further you can reach me at email@example.com or 01-699 1200 for a confidential chat.