Our client is a renewable energy developer producing GW's of energy within Ireland, the UK, Europe, and Australasia. They are undergoing huge growth with the 2030 carbon-neutral target being more prevalent. As an ESG friendly business, this is an ethically friendly company offering the right candidate progression and the opportunity to grow with the business.
The Role:
Managing the day to day finance functions,
Balance sheet maintenance and reconciliation on a monthly basis
Preparation of monthly individual and consolidated management accounts with variance analysis for multiple entities
Contribute to Board and external reporting requirements
Review and submission of VAT returns to a tax advisor
Assist the Head of Finance and CFO with modelling and future projects
Co-ordinate and prepare annual audit pack for external auditors
Review of internal financial controls
Project budget to actual monthly analysis, including liaising with engineering teams regarding project budgeting and progress;
Maintain reconciliation of project work in progress
Preparing project appraisal reviews for prospective new projects/ markets
Candidate Requirements:
The ideal candidate will be qualified (ACA/ACCA)
Experience in monthly or quarterly management accounts preparation through to consolidation extremely desirable
Experience in tax compliance
Advanced Excel skills
Offer:
Salary is based on experience and is very competitive
Excellent Bonus and other benefits
Various offsite events and culture of high performers