An innovative tech organisation based in Dublin South is looking for a Financial Controller on a contract basis (long term potential). This role will be responsible for Group close and consolidation, statutory reporting, audit and compliance coordination, while maintaining a robust financial control environment.
Hybrid Work Model: On site at the Dublin office three days per week, and two days working from home. This approach ensures effective collaboration, decision making, and a strong culture across the team.
Competitive salary
What is involved:
Financial Reporting & Control
- Own the Group month-end and year-end close and consolidation processes.
- Oversee balance sheet reconciliations, ensuring timely investigation and resolution of issues.
- Ensure accurate and consistent financial reporting across Group entities.
- Develop and maintain a robust internal financial control framework.
Statutory Reporting, Audit & Compliance
- Coordinate statutory financial statements and reporting requirements across Group entities.
- Lead the external audit process and manage relationships with auditors.
- Coordinate tax, regulatory and compliance requirements with internal teams and external advisers.
Treasury, Investments & FX
- Maintain and oversee the Group investment and treasury policies.
- Oversee treasury operations, including cash management, banking controls and payment processes.
- Monitor Group foreign exchange exposure and oversee management of appropriate risk mitigations.
- Maintain effective authorisation and governance frameworks across treasury, investments and FX activities.
Commissions & Incentives
- Oversee systems and related processes to deliver accurate calculation, validation and payment of commissions, bonuses and financial incentives.
- Partner with relevant stakeholders to resolve queries, oversee governance and controls and ensure appropriate documentation for all commission and incentive schemes.
Finance Systems & Operations
- Oversee the integrity and effective operation of core finance systems and financial data.
- Maintain appropriate system access, controls and approval workflows.
- Continuously identify opportunities to automate and improve finance processes and strengthen controls.
- Provide oversight of core finance operations, including AP, AR, Payroll and Expenses and ensure processes remain effective as the business scales.
Requirements
- ACA/ACCA or equivalent required
- 10 years + of accounting experience
- Strong experience in Group financial close, consolidation and balance sheet control.
- Experience managing statutory reporting and external audits.
- Strong technical accounting knowledge and understanding of accounting policies and internal controls.
