Job Description Are you ready to take your finance career to the next level in a fast-paced, global environment?
Our client, a trailblazer in mobile-first payment solutions, is looking for an experienced and motivated Finance Manager to join their team in Ireland.
You'll be at the heart of managing financial reporting for a dynamic, rapidly-growing subsidiary, supporting a wide range of global customers like Amazon, Netflix, Meta, and Microsoft.
This role is key in ensuring financial integrity, driving process improvements, and playing a critical part in financial audits and reporting.
Job Summary: You'll be responsible for managing daily reconciliations, maintaining financial records, preparing reports for the Irish subsidiary, and helping streamline accounting processes—all while collaborating with a talented international team.
If you have a keen eye for detail, a passion for problem-solving, and thrive in a high-energy environment, this is the role for you.
What You'll Be Doing: Client Account Segregation: Oversee and prepare client segregation reports for Irish subsidiary accounts, ensuring full regulatory compliance.
Bank and Ledger Reconciliations: Perform daily reconciliations of bank and general ledger accounts, ensuring every penny is accounted for in accurate financial reporting.
Account Maintenance & Trial Balance: Maintain accounting records for the Irish entity, producing trial balances and draft accounts for management review, ensuring a clean and clear financial picture.
Bank Transactions: Handle the preparation and recording of all accounting entries for bank receipts and payments, ensuring precision and timeliness.
Month-End Reporting: Play a pivotal role in month-end reporting for the Irish subsidiary, ensuring a smooth and timely close, every month.
Prepayments & Accruals: Maintain and analyse prepayment and accrual schedules, ensuring all financial reporting is accurate and up-to-date.
Intercompany Transactions: Manage and reconcile intercompany postings, making sure everything aligns with group standards.
Balance Sheet Revaluations: Perform balance sheet revaluations and support monthly reconciliation efforts for management review.
Audit Support: Work closely with the Group team to provide detailed support for both half-year and year-end audits, ensuring a seamless audit process.
Payroll Accounting: Ensure payroll entries are posted on time, payroll tax schedules are updated, and payroll accounts remain accurate.
Continuous Improvement: Collaborate on special projects that aim to improve internal controls and streamline financial reporting processes.
General Ledger Maintenance: Assist in ad hoc postings and keeping general ledger accounts current.
Requirements What We're Looking For: Educational Background: A degree in Finance, Accounting, or a related field with a strong academic record (2:1 or equivalent).
Professional Qualifications: Actively pursuing or close to completing a recognised accounting qualification (e.g., ACA, ACCA, CIMA).
Experience: A proven track record in a finance role, with hands-on experience in general accounting, reconciliation, and month-end processes.
Technical Skills: Strong proficiency in Microsoft Excel and experience with accounting systems, enabling efficient data analysis and reporting.
Analytical Skills: A natural problem-solver with strong analytical abilities, proactive in identifying discrepancies and streamlining processes.
About You: Detail-Oriented: You have a sharp eye for detail and take pride in ensuring financial records are flawless.
Resourceful: You're proactive, and always looking for ways to improve processes and drive efficiencies.
Collaborative: A team player who enjoys working across departments and building strong relationships with colleagues.
Time-Management Pro: You thrive in fast-paced environments and know how to juggle multiple priorities to meet deadlines.
Independent: You're self-reliant and dependable, able to manage tasks on your own but also work seamlessly with a wider team when needed.
Positive & Professional: You maintain a positive attitude, handle challenges with professionalism, and are approachable to all team members.
Benefits What You'll Get in Return: Generous Benefits: 25 days of annual leave + 3 company days off + Christmas shutdown.
Stock Options: A real stake in the company's success.
Health & Wellness: Private medical insurance to keep you in top form.
Work Flexibility: The option to work from home or in the office—whatever suits your lifestyle.
Career Growth: The chance to develop in a globally recognised company, with opportunities for continuous personal and professional growth.
Independence & Responsibility: A role where you can make an impact and define your career path within an innovative, dynamic team.
Collaborative Environment: Work alongside top-tier professionals in the tech and digital industries, contributing to the success of major brands across the globe.
Join an innovative team that's transforming mobile-first payment solutions for some of the world's biggest brands!
If you're an experienced Finance Manager ready to bring your expertise to a thriving global company, we'd love to hear from you.
Step into a role where your skills and ideas are valued, and where you'll have the opportunity to grow and make a real impact.
Apply today and be part of a dynamic journey in the world of fintech!
Requirements What We're Looking For: Educational Background: A degree in Finance, Accounting, or a related field with a strong academic record (2:1 or equivalent).
Professional Qualifications: Actively pursuing or close to completing a recognised accounting qualification (e.g., ACA, ACCA, CIMA).
Experience: A proven track record in a finance role, with hands-on experience in general accounting, reconciliation, and month-end processes.
Technical Skills: Strong proficiency in Microsoft Excel and experience with accounting systems, enabling efficient data analysis and reporting.
Analytical Skills: A natural problem-solver with strong analytical abilities, proactive in identifying discrepancies and streamlining processes.
About You: Detail-Oriented: You have a sharp eye for detail and take pride in ensuring financial records are flawless.
Resourceful: You're proactive, and always looking for ways to improve processes and drive efficiencies.
Collaborative: A team player who enjoys working across departments and building strong relationships with colleagues.
Time-Management Pro: You thrive in fast-paced environments and know how to juggle multiple priorities to meet deadlines.
Independent: You're self-reliant and dependable, able to manage tasks on your own but also work seamlessly with a wider team when needed.
Positive & Professional: You maintain a positive attitude, handle challenges with professionalism, and are approachable to all team members.
Role: Retail Banking Graduate Programme 2025 Location: Dublin/Regional Start Date: September 2025 This role is being offered as a 23-month contract ...
Allied Irish Bank - County Dublin
Published a month ago
AmTrust is a global insurance provider offering risk-management solutions and business underwriting tailored to the unique needs of each client. AmTrust Inte...
Amtrust International - County Dublin
Published a month ago
Senior Treasury AnalystOptum is a global organisation that delivers care, aided by technology to help millions of people live healthier lives. The work you d...
Unitedhealth Group - County Dublin
Published a month ago
Trusted by over 5,000 customers worldwide, Corsearch delivers AI-powered data, deep analytics, and professional services that support brands to market their ...
Corsearch - County Dublin
Published a month ago
Built at: 2024-11-15T10:46:17.728Z