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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