Job Description
You will be part of a finance team responsible for both the day to day financial operations of the Irish business as well supporting new business initiatives across the company. The team be accountable for the delivery of timely, complete and accurate financial statements and management reporting and supporting financial analysis, and will support the local executive team in pursuit of the company’s objectives.
- Ensure the timeliness, completeness and accuracy of financial statements in accordance with general accounting and corporate standards.
- Ensure all payment operations and treasury activities and associated reconciliation controls are completed in a timely and accurate manner.
- Ensure all intercompany reconciliations are completed in a timely and accurate manner.
- Delivery of local and corporate management reporting and financial analysis.
- Support both Internal and External audit review processes.
- Support all Statutory, Regulatory and Tax reporting for the business.
- Support the Accounts Payable and Inter-Company billing processes.
- Budgeting and Forecasting.
- Partner with both internal and external service providers who support the business.
- Support finance and accounting requirements of local Holding entity in Ireland.
- Ensure a strong internal control environment within the finance function.