Senior Financial Accountant
Darwin Hawkins · Dublin, County Dublin, Ireland
Apply & track with Apply EdgeThe company provides technology solutions to some of the world's leading financial institutions and has a significant international presence across Europe, North America, Asia Pacific and the Middle East.Why should you apply?This is an excellent opportunity for a qualified accountant to join a growing international business with significant exposure across the finance function. You will become part of a collaborative finance team and gain exposure to financial reporting, revenue accounting, cashflow management and senior management reporting.The business continues to grow internationally and offers excellent opportunities for career development. There is also a strong focus on improving and automating finance processes, providing exposure to systems and tools including NetSuite, Power BI and the wider Microsoft stack.Who should apply?This role would suit a qualified accountant coming from financial control or a Big 4/Top 10 practice environment who is looking to move into a growing international business.Qualified Accountant (ACA, ACCA or equivalent)Financial control experience or relevant Big 4/Top 10 audit experienceStrong financial reporting and month-end experienceAdvanced Excel skills with an interest in automation and process improvementNetSuite experience would be advantageousPower BI and wider Microsoft reporting experience would be beneficialRole and Reporting LinesWorking as part of the Finance team, you will have ownership across a broad range of financial accounting, reporting and cash management activities:Prepare journals, accruals, prepayments and intercompany transactions while supporting the timely completion of the monthly close.Complete balance sheet reconciliations and ensure outstanding items are investigated and resolved promptly.Support accurate revenue recognition in accordance with IFRS 15, partnering with the Revenue Accounting and Deal Desk teams.Support payments, bank reconciliations, daily cash management and weekly and monthly cashflow forecasting.Prepare accurate management reporting with analysis and commentary on variances against budget and prior periods.Assist with board pack schedules, working capital reporting and other analysis required by senior management.Maintain the integrity of the general ledger within NetSuite and ensure transactions are accurately recorded across accounts and cost centres.Identify opportunities to automate and improve finance processes, reporting and data accuracy using Excel, Power BI and other technology.Interested in this position?To apply, please submit your CV to Aonghus who is managing this assignment via the link below or to inquire further please contact us directly on 01 529 4200.