Financial Accountant - Eolas Recruitment
  • Dublin, Leinster, Ireland
  • via BeBee.com
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Job Description

Financial Accountant sought for a leading professional services firm to contribute to financial control, month-end processes, and business partnering.

Key responsibilities include preparing and posting month-end journals, collaborating on monthly management accounts, and conducting P&L and Balance Sheet reconciliations.

Additional duties include working with budget holders to produce budgets and forecasts, reviewing outputs from Accounts Payable, Banking, and Accounts Receivable teams, and authorising payments.

Other responsibilities include assisting with annual and quarterly accounts, providing financial data and analysis for tax filings, and supporting the preparation of annual financial statements.

Requirements include a minimum of 3-5 years of experience as a qualified Chartered Accountant (ACA) or Certified Accountant (ACCA), strong experience in management accounting, and proficiency in financial systems and advanced MS Excel skills.

Desirable skills include experience with financial systems such as 3 E or Iridium, ability to simplify processes, and familiarity with tax filing processes and regulatory reporting.

Benefits include a permanent role with flexible working hours, hybrid working options, and an attractive benefits package including annual bonus, pension scheme, healthcare, and wellness programmes.

Key skills include financial reporting, business partnering, and strong communication and interpersonal skills.

Requirements include a degree in Accounting, Finance, or a related field, and professional certifications such as ACA or ACCA.

  • Prepare and post month-end journals, including accruals and prepayments.
  • Collaborate in the production of timely monthly management accounts.
  • Conduct P&L and Balance Sheet reconciliations, resolving queries at both reconciliation and root-cause levels.
  • Work closely with budget holders to produce budgets, forecasts, and variance analysis.
  • Review outputs from Accounts Payable, Banking, and Accounts Receivable teams, and authorise payments.
  • Assist with the preparation of annual and quarterly accounts in line with regulatory requirements.
  • Provide financial data and analysis to support tax filings such as VAT and Corporation Tax.
  • Support the preparation of annual financial statements and liaise with external auditors.
  • Contribute to the development of accounting processes and controls.
  • Participate in system enhancements and project teams, including user acceptance testing.
  • Undertake ad-hoc reporting and projects as required.

Desirable skills:

  • Experience with financial systems such as 3 E or Iridium.
  • Ability to simplify processes and continuously improve systems.
  • Familiarity with tax filing processes and regulatory reporting.

Requirements:

  • Minimum of 3-5 years of experience as a qualified Chartered Accountant (ACA) or Certified Accountant (ACCA).
  • Strong experience in management accounting, financial reporting, and reconciliations.
  • Proficiency in financial systems and advanced MS Excel skills.

Benefits:

  • Permanent role with flexible working hours and hybrid working options.
  • Attractive benefits package including annual bonus, pension scheme, healthcare, and wellness programmes.

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