Job description
What you need to know
Matrix Recruitment are currently recruiting for a Senior Financial Accountant (Treasury & Reporting) to join a well-established organisation based in North Dublin.
This is a key position within the finance function, working closely with the Finance Director and playing a central role in financial reporting, treasury management, and business planning across a multi-entity structure.
This is a full-time, permanent role.
The role offers a collaborative working environment, exposure to strategic financial projects, and the opportunity to influence financial processes as the business continues to grow.
Your new job
As Senior Financial Accountant, you will be responsible for supporting the effective financial management of the business, combining strong technical accounting with commercial and treasury-focused responsibilities.
Key duties and responsibilities will include:
Preparing monthly management accounts, budgets, forecasts, and longer-term financial plans.
Producing financial information for multiple entities.
Managing the treasury function, including cash flow forecasting and foreign currency exposure.
Supporting the year-end audit process and acting as a key point of contact with external advisors.
Ensuring compliance with statutory and tax obligations, including VAT, payroll, and corporate tax.
Providing clear financial analysis and insights to support decision-making and business performance.
Assisting with internal controls, process improvements, and efficiency initiatives.
Contributing to cost control, financial projects, and broader commercial initiatives.
Working cross-functionally and supporting ad hoc finance and business projects as required.
What are we looking for?
Fully qualified accountant (ACCA, ACA, CPA, or CIMA).
Minimum of 4 years’ post-qualification industry experience.
Strong financial accounting background, with exposure to audit an advantage.
Experience in a manufacturing or multi-site environment would be beneficial.
Proven experience in budgeting, forecasting, and management accounts preparation.
Treasury or cash flow management experience desirable.
Advanced Excel skills with a strong attention to detail and accuracy.
Commercially aware with the ability to analyse and interpret financial and non-financial data.
Clear communicator who works well as part of a team and with senior stakeholders.
By applying, you are giving consent for Matrix Recruitment to contact you about this job. We collect your data for recruitment purposes only and will retain it for the duration required as outlined in our privacy policy. All CVs are kept confidential and will not be submitted to any clients without your knowledge and permission. Please note that due to the expected high volume of applications we can only reply to applicants suitable for the position.
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