Average salary: €98,164 /yearly
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- ...Services Departments Liaise regularly with departmental Managers in supporting of Budget tracking and report requirements Update Bank Covenant reporting requirements on a quarterly basis Identification of value-add opportunities to the business Cashflow Accounting...SuggestedPermanent employmentWork at officeCity centreHybrid work
- ...Accounts Assistant, Banking, Dublin City Centre The Company Our client is a leading banking institution with a focus on the corporate sector. Due to an internal restructure they are seeking to appoint an experienced Accounts Assistant to work in a small finance team. The...SuggestedPermanent employmentCity centre
- ...follow up on discrepancies Analysis and posting of Credit Card Statements Prepare and set up electronic transfers and payments on Banking-on-line Posting of all payments and receipts to Sage for the various Bank Accounts Weekly/monthly Bank Reconciliations...SuggestedPermanent employmentHybrid workFlexible hours
- ...responsibilities: Assist with the preparation of monthly management accounts Reporting of accounts payable and receivable Responsible for bank processing and reconciliation Purchase orders, supplier invoices and dealing with supplier queries Generate management reports...SuggestedPermanent employment
€45k per annum
...senior accounts assistant. You will be responsible for the creditors and debtors ledger, assisting with preparation of month and year-end, bank reconciliations, liaising with external auditors, dealing with queries, payment runs and VAT returns. There will also be aspects of...SuggestedPermanent employmentWork at officeCity centreHybrid workFlexible hours- ...Payable and Accounts Receivable Support with the preparation of monthly management accounts Monthly analysis Assist with audits Bank reconciliations Provide holiday cover for other functions such as payroll Continuous review and improvement of processes Ad-...SuggestedPermanent employmentCity centreHybrid work
- ...Process invoices, track payments, and manage outstanding balances, ensuring timely payments to suppliers and collection from clients. Bank Reconciliation: Reconcile bank accounts and credit card statements to ensure that records match with financial transactions....SuggestedPart time
- ...Centre and the role is currently a hybrid of working in the office and remotely. Responsibilities will include: Accounts Payable Bank account management Petty Cash management Accounts Receivable Journal postings Tax and Statutory returns Detailed reconciliations...SuggestedPermanent employmentWork at officeRemote workCity centreHybrid work
- ...• Assist the Finance Manager with managing finances for group entities. • Posting of sales & purchase invoices to Sage50 • Process bank reconciliations • Responsible for the preparation of accruals, prepayments and other journals as required • Prepare and submit weekly...SuggestedPermanent employment
- ...an integrated Financial Services practice across Europe, the Middle East, India and Africa (EMEIA). We connect our Asset Management, Banking and Capital Markets and Insurance clients to 6,500 talented people from 12 countries and 35,000 Financial Services colleagues around...SuggestedPermanent employmentFull timeContract workVisa sponsorshipImmediate startWork visaHybrid workFlexible hours
- ...functions. Responsibilities: • Manage supplier invoices, purchase orders, payments, and queries across multiple entities. • Prepare bank reconciliations and support month-end creditor reconciliations. • Assist with accounts receivable, including debtor ledger management...SuggestedFull time
- ...Assist with the annual fee setting including review of the Guide to fees and Fees form Provide cover for processing daily invoices and bank transactions Manage the Fixed Asset Register – processing of fixed assets additions and disposals Conduct or assist in ad hoc...SuggestedContract workWork at officeHybrid work
- ...processed Sales invoicing Management of Debtors including operation of Credit control process Dealing with customer queries Bank reconciliations Generation of EFT and cheque payments Other ad hoc and admin duties Knowledge & Skills: Previous...SuggestedContract workHybrid work
- ...Supplier forms in accordance with company policy Prepare monthly supplier payment runs Monthly supplier statement reconciliations • Bank & cash management Review daily cash reconciliations produced by previous day’s Duty Manager & follow up any variances/queries...SuggestedContract workFlexible hours
- ...Ensure proper books and records are maintained and provide full oversight of regular book-keeping tasks including payroll preparation, banking requirements, revenue requirements, and ad-hoc problem solving Preparation of year-end consolidated financial statements for audit...SuggestedContract work
- ...Financial Controller role will involve: Payroll Responsibilities: Oversee and process payroll for employees Manage payroll-related bank payments and reconciliations Proficiency in all aspects of PAYE Revenue reporting, to include RPN processes, Payroll and other...Weekly payContract work
- ...the Financial Services Division the successful candidate will assume responsibility for a portfolio of audit clients in the area of Banking and capital markets as well as supporting a wide variety of advisory assignments in this area. Duties will include: Responsible for...Permanent employmentTraineeship
- ...of financial statements. • Previous experience of fixed charge receivership reconciliations. • A sound knowledge and experience of bank reconciliations. • Good excel skills which ideally will include v/lookups & pivot tables. • Computer Literacy, specifically in Microsoft...Contract workWork at office
- ...accounts, including preparing management accounts, financial statements, managing audit process, preparing and filling VAT returns, Central Bank reporting and other ad hoc projects. You will have officers reporting to you directly, assisting and providing guidance and support...Work at officeWorldwide
- ...oversight and process reivew Posting and processing payments Stock and inventory management Income auditing Preparation of bank reconciliations for a number of bank accounts Assisting in the preparation of management accounts and corporate administration Complete...Permanent employmentHybrid work
- ...candidate: Similar experience in a busy finance role Accounting Technician qualification / finance related degree an advantage Strong bank reconciliations experience Excellent Excel skills Strong communications skills – both written and verbal High level of...Permanent employmentCity centre
- ...as part of a team and report to a Finance Manager. Key Responsibilities: Preparation of monthly fundraising journal entries for bank accounts, and monthly income upload from CRM fundraising database Preparation of monthly balance sheet reconciliations, including bank...Contract workWork at officeHybrid work
- ...timely manner Responsible for variance analysis and reporting to senior management Daily posting and reconciliation of invoices and bank accounts via our accounting system Xero Assist in preparation of budgets and forecasts Expense processing Continuous review...Permanent employmentCity centre
- ...skills to navigate what's next? What’s in it for you? Our Financial Services division focuses on financial services and helps banking, insurance, leasing and asset management groups succeed in an ever-changing and fast-paced world. As part of our multidisciplinary...Permanent employmentFull timeContract workImmediate startHybrid workFlexible hours
- ...Monitoring costs and variance analysis Monthly reconciliations across the Group Monitoring financial performance Managing bank accounts and cashflow forecasting Assist with audit process Tax and statutory reporting Managing financial system The Person...Permanent employmentHybrid work
- ...management accounts Reconciliations Fixed Asset Register maintenance Oversight of debtors and creditors KPI analysis Client bank account management Analysis and provision of key information to management Day to day involvement with the running of the Finance...Permanent employmentHybrid work
- ...Monitoring costs and variance analysis Monthly reconciliations across the Group Monitoring financial performance Managing bank accounts and cashflow forecasting Assist with audit process Tax and statutory reporting Managing financial system The Person...Permanent employmentHybrid work
- ...to join EY’s Tax practice at Senior Manager Level. Our Indirect Tax (VAT) team works with many organizations across all sectors (banking and capital markets, wealth and asset management, insurance, and aircraft leasing). We are growing very fast and in order to seize...Permanent employmentFull timeContract workLocal areaImmediate startHybrid workFlexible hours
- ...Procurement function, ensuring that procurement activities are planned and executed Ensure effective cash-flow management, forecasting and banking Oversee the pay-roll function (staff expenses, PRSAs, P35, reconcile payroll to financial statements) Monitor and control...Contract workHybrid work
- ...auditors and distribute to appropriate finance individuals both at HQ and country office level to resolve. Follow up with various banking institutions to ensure bank confirms for the organisations bank accounts are completed and returned to auditors in a timely manner....Contract workWork at officeLocal areaImmediate startHybrid work