Senior Finance Executive/Accountant/Finance Manager Dublin – (Remote) or Hybrid or Donegal in Office, or if living in EU - Remote (Contract Role) National Company Highly Competitive Salary Our Client A product and tech-focused company operating an online brand and multiple retail brands.
Their vision is to create an exceptional customer experience and product/service offering.
They have built a foundation on delivering 5-star customer service, innovation and best-in-class products, a large part of this success can be credited to their focus on cutting edge technology coupled with effective and data-driven marketing, and their achievements have resulted in the exceptional growth of their business throughout the Irish and U.K. marketplace.
Job Overview: We are seeking a highly capable finance professional to manage key operational finance tasks across multiple jurisdictions.
Accounts receivable and bank reconciliations - payment service provider receivables and reconciliation of transactions) Accounts payable – payment of suppliers in a timely manner Regulatory reporting and payment of gaming taxes in a timely manner Bookkeeping Creation of management accounts Collating information for yearend financial statements.
Keeping the company in good financial standing Key Responsibilities Financial Accounting: Maintain and manage accurate records for company revenues and expenses, ensuring compliance with tax regulations, including VAT and other applicable taxes.
Supplier Payments: Handle payments to suppliers, ensuring timely and accurate processing of invoices and maintaining positive supplier relationships.
Compliance Reporting: Prepare and submit regulatory and financial reports in various jurisdictions Reconciliations: Manage and reconcile transactions across different payment systems and service providers, identifying and resolving discrepancies as necessary.
Expense Management: Track and manage company expenses, ensuring accurate classification and reporting of costs.
Cost Management: Monitor and report on key costs associated with various business activities, providing insights and recommendations for cost optimization.
Financial Reporting: Assist in the preparation of regular financial reports for internal stakeholders, including consolidation of data for senior leadership and external auditors.
Cross-Department Collaboration: Work closely with teams across the company to ensure smooth financial operations and accurate reporting.
Team Collaboration: Collaborate with bookkeepers and assist the Group Financial Director in delivering accurate financial reporting and insights to the management team.
Qualifications & Experience: Key Requirements: Strong experience in financial operations, accounting, and compliance, with a focus on maintaining accurate records and meeting regulatory requirements.
Proficiency in managing reconciliations and supplier payments.
Excellent organizational skills and attention to detail, with the ability to manage multiple tasks and deadlines.
Strong communication and collaboration skills, with the ability to work independently and as part of a team.
Must-Have experience: Strong proficiency in Microsoft Excel.
Use of functions and Pivot tables.
Accounts Payable Experience Accounts Receivable Experience VAT returns experience Previous experience working in a fast-paced environment.
Nice to Have: Previous experience in a fast-paced, compliance-driven environment.
Strong analytical skills, with a focus on cost management and optimization.
Experience in financial reporting to senior leadership or external stakeholders.
Additional info Permanent Role; This is a full-time role; Salary Highly Competitive Ref - VAC-13510 Interview Process Initial Screening (HR) First Round Interview (Directors /Owners) Technical Assessment and Final Round Interview (Directors/Owners) How to Apply: Please send your full and up to date CV along with a cover note or email to our multi-Sector team in order to apply for this role.
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