Responsibilities
- Assist with preparation of monthly management accounts, including journals, reconciliations, accruals, and prepayments
- Maintain general ledger accuracy and ensure timely month-end close
- Prepare balance sheet reconciliations and investigate variances
- Support budgeting, forecasting, and financial analysis activities
- Assist with annual statutory financial statements
- Support external auditors and coordinate audit deliverables
- Ensure compliance with Irish / UK tax obligations (VAT, payroll taxes, etc.), working with external advisors when needed
- Oversee accounts payable and accounts receivable processes
- Process supplier invoices, staff expenses, and card reconciliations
- Support payroll preparation and review
- Assist with treasury, cashflow forecasting, and banking administration
- Help design and implement scalable finance processes and internal controls
- Contribute to documentation of policies and procedures
- Participate in finance system upgrades/automation projects
Requirements
- Qualified accountant (ACA, ACCA, CIMA, CPA, AITI or equivalent)
- 2–4+ years’ experience in accounting, audit, or similar role
- Good technical accounting knowledge
Nice to Have
- Experience in fintech, startup, or a regulated environment
Benefits
- Health Insurance via Kota
- Workplace Pension with matched contributions up to 5% via Kota
- WFH stipend to support your home office needs
- Generous Paid Time Off - work hard and take the time you need
- Annual company-wide offsite and dedicated team offsite
Work Arrangement
Hybrid