Pardgroup, a leading company in integrated services for retail and large-scale distribution, is looking for a new Finance Manager based in Dublin to join its Finance Team.
Reporting to the CFO, the Finance Manager will be responsible for:
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Support the CFO and Ireland operations, including management of accounts, balance sheet, P&L, cash flow, statutory accounts, and treasury reviews at the Dublin HQ;
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Partner closely with the CFO, General Managers, and global finance team on budgeting, forecasting, consolidation, and financial analysis;
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Oversee debtors, creditors, company invoicing, and multi-currency transactions;
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Supervise a small team and manage day-to-day finance operations;
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Maintain accurate financial records and ledgers across systems;
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Prepare VAT returns and perform bank reconciliations, resolving any discrepancies;
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Monitor KPIs and deliver timely, accurate financial reporting;
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Manage renewals, one-off payments, and routine finance activities;
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Drive process improvements and ensure strong financial controls are in place.
The successful candidate will have:
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Minimum of 4 years’ experience in a similar role;
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Fully qualified accountant (ACA, ACCA, CIMA, or CPA);
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Strong experience in financial reporting, statutory accounts, consolidation, and forecasting;
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Proven track record of managing direct reports and overseeing finance processes;
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Excellent analytical, numerical, and problem-solving skills with a high level of attention to detail;
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Strong systems and Excel skills (experience with financial software and databases preferred);
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Highly organised, with the ability to prioritise in a fast-paced, global environment;
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Strong communication skills, with the ability to work both independently and collaboratively;
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Proactive, resilient, and professional, with a high level of integrity;
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Fluent in English.
Nice to have:
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Experience with Microsoft Dynamics
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Additional EU language
Pardgroup is an equal opportunity employer.
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