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The successful candidate will work closely with the wider treasury function and partner with the tax organization to support ongoing initiatives. Being a key Controllership contact for Treasury entails reporting out to various stakeholders on a regular basis, providing advisory support to and resolving queries from other functions both within Treasury and the Businesses
The successful candidate will assist the Treasury Controller/HedgeCo Controller in all aspects of the day to day controllership activities, including:
Preparing and reviewing journal entries, trade management system accounting reports, review account reconciliations and contribute to external financial reporting deliverables
Monitoring and maintenance of the ledgers for monthly, quarterly and year end close
Monitoring and maintenance of investment and liquidity positions
Full year statutory reporting for multiple legal entities
Quarterly reporting to Board of Directors including preparation of management accounts and board packs
Local and US tax filings and associated reporting. Assisting with Irish and US tax team’s queries, initiatives and reporting
Assisting with the external and internal audit process
Exploring opportunities to enhance analytics & reporting framework
Production of metrics in relation to financial reporting and operations
P&L analytics particularly around cash pool profitability
Production of Sarbanes Oxley process documents
Day-to-day support for internal controls, SOP’s, process improvements and enhancing operational efficiencies
Supporting various ad hoc projects
Liaising with operational accounting teams to ensure rigorous controllership
Bachelor’s Degree or equivalent knowledge and experience
Relevant professional/accounting qualification - ACA/ACCA
Experience working in the treasury function of a multinational corporation or bank.
A strong controllership background with a proven track record is essential to the role
Self-motivated individual with ability to problem solve and prioritize effectively in a dynamic, fast paced global environment
Team player with ability to work in a global business environment under time constraints while managing multiple priorities and adapting to new information and unexpected circumstances
Experience of working on complex projects with strong regulatory and international finance component
Experience with accounting and financial operations for cash pooling and other corporate funding structures
Knowledge of FX and derivatives and hedging strategies an advantage
Expert MS Office Skills, particularly proficient in Excel
Excellent communication, presentation and influencing skills across all organizational levels.
Demonstrated project and team management skills, strong process mindset and analytical skills.
Proven analytical and organizational skills
Must have unrestricted authority to work in Ireland
Our total rewards are designed to unlock your ambition by giving you the boost and flexibility you need to turn your ideas into world-changing realities. Our salary and benefits are everything you’d expect from an organization with global strength and scale, and you’ll be surrounded by career opportunities in a culture that fosters care, collaboration and support.
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