Search Results: 475 vacancies

 ...strive to be the best, and that starts with our dynamic and collaborative teams. We are currently looking for a European FP&A Manager-Cash Flow who will be responsible for delivering European Cash Flow and submitting the European Balance Sheet to US. This role involves educating... 

Kellanova

Dublin
8 hours agonew
 ...The Cash Office & Invoicing Supervisor will report to the Accounting Manager in Calor Gas's head office based on the Long Mile Road, Dublin 12. This is a permanent full time role and will be office based. The primary purpose of the role is to ensure prudent and necessary... 

Calor

Dublin
27 days ago
 ...leadership in the kidney care space, it will also offer meaningful work to those who join us. We are looking for a key individual with cash management experience in Front Office to complete this new Treasury team in South Dublin. Your Role at Baxter This is where your insights... 

Baxter

Dublin
26 days ago
 ...the "Shared Credit Services Team Award" check its out here - The Opportunity We're hiring a fluent French & English speaking Cash Collections Delivery Manager in Dublin. Manage Collections team(s) and collaborate closely with clients. Based in our Shared Service Centre... 

Sidetrade

Dublin
more than 2 months ago
What you will love about Sidetrade and why you should be working here: You want to join a fast-growing international company leader on its market? Are you eager to learn and ready to take on stimulating challenges? Sidetrade is the ideal opportunity for you! Come and join...

Sidetrade

Dublin
more than 2 months ago

£30k - £35k per annum

Join our Client's Credit Control function, where you'll play a vital role in cash collection. Based in Dublin City Centre, this position requires a focus on engaging with clients primarily over the phone. You will be based in the office 5 days per week, from 9am - 5:30pm. Job... 
Dublin
4 days ago
 ...Responsibilities • To carry out monthly valuations of work in progress, including forecasting of final costs and sales. • Prepare and monitor project cash flow forecasts. • Measure, value, submit and negotiate contract variations. • Provide advice to project staff on commercial and... 
Dublin
9 days ago
 ...role is based in our new location in Citywest. The ideal candidate will have 2+ years Treasury experience. You will be: Preparing Daily Cash Management Reporting, this includes planning and executing transactions such as FX trades, investments and instructing payments team on... 
Saggart, Co. Dublin
9 days ago

£32.3k - £35.7k per annum

 ...Fantastic bonus potential - A generous 36 days holiday including public holidays - A Stakeholder pension scheme - Company’s Health Cash Plan ABOUT US This role is being handled by Venture Recruitment, a specialist retail & trade recruitment consultancy covering the whole... 
Swords, Co. Dublin
17 days ago

£60.43k - £69.06k per annum

 ...and rollout of group systems across international borders. - Deep understanding of the interconnectedness of P&L, balance sheet, and cash flow dynamics, including a mastery of debits and credits. - Knowledgeable about financial regulatory and compliance requirements across... 
Dublin
23 days ago

£40k - £100k per annum

 ...Works The preparation and submission of contractual notices and / or correspondence to both the Client and Sub-Contractors Preparation of cash flows, monthly cost reports and analysis of budgets Attend monthly commercial meetings to provide update on any ongoing contract... 
Dublin
15 days ago

£22k - £26k per annum

 ...salary with discretionary bonuses A contemporary working environment in an excellent location. Car allowance Private Medical Insurance + Cash Plan Bonus for performance and business generation Holiday allowance + Birthdays + Wellbeing Day Subsidised gym membership Recognition... 
Dublin
17 days ago

£68.1k - £85.1k per annum

 ...Tier 2 Contractors, Estimating Estimates, Contractors Location: Ireland Remuneration: €80,000 - €100,000 Benefits: 5% pension, health cash plan, life assurance, 30days annual leave The role of the Estimating Manager - M&E Services will involve: * Estimating Manager... 
Dublin
2 days ago

£45k - £65k per annum

 ...reliable turnover and cashflow forecast on each project Identify, analysis and report on trends on the project Managing and forecasting the Cash flow of your package Improve and implement best practise commercial processes   Quantity Surveyor Requirements: Academically (... 
Dublin
24 days ago
 ...environment. Our stock changes by the day, and we like to make sure our Retail Associates get plenty of variety too. You might be on the cash registers one moment, guiding customers on the shop floor the next. About you You'll be an ambassador for our business positive... 

TJX Companies, Inc.

Dublin
7 days ago

€50k per annum

 ...Salary – Up to €70,000  Monday to Friday 9am-5pm Fully onsite Free staff parking  Responsibilities: Accurately perform daily cash management and treasury activities for multiple currencies Processing payments Daily Reporting of bank balances Bank account... 
Dublin
10 days ago

€85k per annum

 ...maintaining sustainability Taking charge of the finance function within the business, encompassing forecasting and budgeting, cost analysis, cash flow management, accounting systems and procedures, revenue compliance, debtor and creditor management, and payroll preparation.... 
Dublin
7 days ago
 ...Ensure that all Food and Beverage products are served efficiently and in accordance with the Company standard of presentation. Carry out cash handling procedures in accordance with Company policy. Why work for Carton House? Strong team focus and team atmosphere.... 

Fairmont Carton House

Maynooth, Co. Kildare
2 days ago
 ...accurate month end reports to support the month end close process Maintaining and reconciling balance sheet accounts Manage the cash postings and maintenance of internal and external bank accounts Liaise closely with other finance and tax/treasury teams to ensure all... 

Perrigo

Dublin
8 hours agonew
 ...System) and Adjust roster to reflect changes including checking AL and sick leave for individual staff members Maintain the petty cash, recording all disbursements and action reclaims to maintain the float . Manage payments for staff lunches.   HR Specific Duties... 

Trinity Care Nursing Homes

Malahide, Co. Dublin
17 hours ago