Excellent opportunity in Waterford City to work in a large indigenous
Irish company as an experienced Senior Accountant in a busy finance
team reporting to the Financial Controller on site.
The overall purpose of this role is to be responsible for the
financial reporting of a couple of entities to tight deadlines
Key Responsibilities:
* Preparation and updating of weekly cashflow forecasting reports
* Providing Finance Business Partner support to projects teams,
assisting them on queries to enable them to make good decisions
* Preparation of monthly management accounts for a number of legal
entities to tight deadlines.
* Preparation of monthly journals and updating the general ledger as
required including month end reconciliations.
* Preparation of monthly Accruals and Prepayment Analysis and
associated journals
* Balance sheets reconciliations
* Assist in the forecasting and annual budgeting process
* To assist in the development, implementation and maintenance of
strict internal controls
* Assist in the preparation of tax returns - including VAT, PAYE, RCT
& CT.
* Assist with the preparation of year end accounts and statutory
accounts.
* Liaise with external auditors as required
* Ensure all regulatory, compliance and statistical matters are dealt
with in a timely and efficient manner
* Adhoc reporting and other duties as required
Qualifications / Skills:
* Qualified ACA/ACCA/CIMA
* Ambitious, energetic and motivated individual essential
* Ability to work independently within the Finance Team and use own
initiative
* Excellent Analytical Skills and attention to detail
* Experience of cashflow forecasting
* Strong knowledge of ERP systems
* Advanced knowledge of Excel, Word, Powerpoint
* Excellent communication and interpersonal skills
* Excellent organisational and planning skills
* Ability to meet strict deadlines
* Up to date with accounting standards Senior Accountant
Excellent opportunity in Waterford City to work in a large indigenous
Irish company as an experienced Senior Accountant in a busy finance
team reporting to the Financial Controller on site.
The overall purpose of this role is to be responsible for the
financial reporting of a couple of entities to tight deadlines
Key Responsibilities:
* Preparation and updating of weekly cashflow forecasting reports
* Providing Finance Business Partner support to projects teams,
assisting them on queries to enable them to make good decisions
* Preparation of monthly management accounts for a number of legal
entities to tight deadlines.
* Preparation of monthly journals and updating the general ledger as
required including month end reconciliations.
* Preparation of monthly Accruals and Prepayment Analysis and
associated journals
* Balance sheets reconciliations
* Assist in the forecasting and annual budgeting process
* To assist in the development, implementation and maintenance of
strict internal controls
* Assist in the preparation of tax returns - including VAT, PAYE, RCT
& CT.
* Assist with the preparation of year end accounts and statutory
accounts.
* Liaise with external auditors as required
* Ensure all regulatory, compliance and statistical matters are dealt
with in a timely and efficient manner
* Adhoc reporting and other duties as required
Qualifications / Skills:
* Qualified ACA/ACCA/CIMA
* Ambitious, energetic and motivated individual essential
* Ability to work independently within the Finance Team and use own
initiative
* Excellent Analytical Skills and attention to detail
* Experience of cashflow forecasting
* Strong knowledge of ERP systems
* Advanced knowledge of Excel, Word, Powerpoint
* Excellent communication and interpersonal skills
* Excellent organisational and planning skills
* Ability to meet strict deadlines
* Up to date with accounting standards
We need : English (Good)
Type: Permanent
Payment:
Category: Others