If you are a Qualified or recently Qualified Accountant and looking to enhance upon your skillset then my Dublin 1 client is looking for you. Reporting to the Group Reporting Manager, the Group Financial Accountant will be responsible for various tasks including the preparation of Head Office monthly management accounts, Head Office budgeting and forecasting, cash management and related Treasury and Banking activities.
This will be fixed term contract and we are looking for someone who is pro-active, a self-starter, analytically minded with the ability to work independently as well as part of a team. This really is an excellent opportunity to built upon experience in a busy, fast paced environment.

Role Responsibilities (Overview)
• Preparation of Head Office monthly management accounts.
• Preparation of Head Office budget and forecasts.
• Daily Cash Management and related Treasury and Banking activities.
• Assisting with the production of quarterly Group Consolidation under the management of the Group Reporting Manager.
• Year-end duties such as impairment testing, lease accounting etc.
• Liaising with auditors and tax advisors.
• Carry out project work as required.
• Other related duties as outlined by the Group Reporting Manager.

Desired Attributes:
• Highly capable in Microsoft Excel.
• Proficient in other Microsoft Office products.
• Ability to adapt to new systems.
• Ability to take on responsibility and own chunks of work.

To be considered for this role, apply now

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