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Banking & Finance
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2 jobs in Ireland
Responsibilities of the job:
Extensive general ledger and balance sheet reconciliations are a requirement within an intercompany capacity.
Ensuring all financial activities including the completion of management accounts and transactions are maintained accurately and kept up to date.
There is a month end capacity whereby there is a requirement to analyse and review the company P&Ls that can subsequently be handled by external auditors at year end.
Preparation of Tax Returns including P30s & P35s
Assistance with ad hoc payroll activities and additional tasks set by the Financial Controller
Analyse and review cash flow and capital management.
The repsonsibilities involved in this position will largely be working directly on client assignments as well as managing the workflow through the office. The work will cover a broad range of experience and most aspects of the work of the office some of which are outlined below:
• Completing audit, accounts and tax assignments both on their own and as part of a team.
• Analysing specialised EU grants certification.
• Involvement with niche client areas such as Engineering, Architectural and Hospitality amongst others.
• Managing the work of junior staff working directly for them through instruction and review.
• Providing input into setting and improving work standards for the Practice.