Description:
Our client, a leading services provider, is looking to hire a Financial Controller for a newly created role at their headquarters in Westmeath.
In this role, you’ll take charge of building and rolling out the company’s financial systems, ensuring tax compliance, and integrating finance operations. You’ll be instrumental in shaping a new finance framework and putting robust controls in place across a number of entities.
Once this has been established, you’ll oversee all aspects of financial management—leading monthly and annual reporting, driving budget and forecast processes, and supporting long-term financial strategy.
It is a permanent full time role, they offer hybrid working - 1 day working from home per week. They offer a benefits package including healthcare and pension.
Responsibilities:
- Lead, coach, and develop a high-performing finance team across multiple locations.
- Develop and deliver the Finance Strategy with a strong focus on tax, legal, and statutory compliance.
- Oversee financial operations, ensuring compliance with all regulatory requirements (PRSI, PAYE, VAT, Corporate Tax).
- Manage Accounts Payable and Receivable functions and ensure accurate and timely reconciliations.
- Deliver insightful weekly/monthly management reports, supporting cost control and business decision-making.
- Own the monthly accounts process, ensuring accurate reporting of Balance Sheet, P&L, budgets, and cash flows.
- Strengthen financial controls and document key financial processes to align with best practices.
- Lead finance-related projects that drive operational improvements and cost efficiencies.
- Maintain up-to-date finance policies, ensuring legal compliance and consistency across the business.
- Lead both internal and external audit processes.
- Collaborate with business leaders to provide data-driven insights and identify performance improvement opportunities.
- Review VAT returns and support corporate tax preparation.
- Champion continuous improvement and help drive innovation in systems and processes.
- Identify and implement cost-saving opportunities and supplier optimization strategies.
- Support the Group SLT in preparing financial plans, budgets, and forecasts.
- Take ownership of ad hoc finance and cross-functional projects as needed.
Requirements:
- Qualified Accountant (ACA, ACCA, FCA, or CPA).
- 5+ years’ experience in financial reporting, taxation, and statutory compliance.
- Proven track record in preparing management accounts, budgets, and managing cashflow.
- At least 2 years’ experience leading and developing finance teams.
- Strong problem-solving, multi-tasking, and organisational skills.
- A self-starter with a proactive approach and keen attention to detail.
- Excellent communication, stakeholder management, and reporting skills.