Dublin City Centre
• Ensure the monthly and quarterly activities are performed in a timely and accurate manner.
• Supports budget and forecasting activities.
• Collaborates with the other finance department managers to support overall department goals and objectives.
• Weekly cashflow forecast and monitoring of banks.
• Monthly reconciliation of intercompany accounts and all balance sheet accounts.
• Assist in the planning and coordination of year end audit process involving statutory auditors and business units
• Prepare ad-hoc tasks / reports for management as and when required.
• 1-2 years PQE
• Understanding of French GAAP
• Fluent French speaker
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