Our client is seeking an FP&A candidate for their growing technology business located in Dublin 6.
Analysis and development of the monthly consolidated financial forecast and annual business plan;
Preparation of key portions of the monthly management reporting packages (actuals and forecast);
Analysis and reporting of impacts related to currency and commodity fluctuations;
Work closely with various global, regional, and functional business unit teams to understand market and industry trends, as well as specific dynamics impacting the business
Assist in the review of monthly financial results
Perform ad-hoc analysis, as required; and ability to work in a fast paced/dynamic environment.
Bachelor’s degree in finance or accounting required.
5+ years’ experience with income statement, balance sheet, and cash flow consolidation
5+ years’ analytical capabilities to include financial modeling and analysis skills
ACA, CIMA, ACCA or CPA is a plus
Strong personal ownership of projects and deliverables
Excellent interpersonal and communication skills (written and oral) with the ability to interact well with people of various backgrounds, cultures and levels
Highly proficient in MS Excel, Word, and PowerPoint.
Contact Gary for details :T: (086) 781 4704