Elevate Partners
Financial Accountant
Dublin, IEOp locatieVastFulltime
Geplaatst 2 sep 2026
Deze baan is geplaatst in het EN
We are partnering exclusively with a leading independent investment management firm to appoint an experienced Financial Accountant in a newly created role.
Supporting the Head of Finance, you will have broad exposure across financial reporting, payroll, tax, treasury, and international funds.
Responsibilities:
To discuss this opportunity in confidence, contact Matthew Fleming via mfleming@elevatepartners.ie or apply directly via the link provided.
Supporting the Head of Finance, you will have broad exposure across financial reporting, payroll, tax, treasury, and international funds.
Responsibilities:
- Active management of payroll, treasury management, accounts receivable and accounts payable functions of the firm.
- Preparation of monthly management accounts and financial projections for internal and reporting purposes.
- Preparation of payroll tax returns, VAT returns and corporation tax returns across various jurisdictions, liaising with third party providers where required.
- Preparation of annual accounts and reporting liaising with third party accountants and auditors as required.
- Support of the administration of collective investment vehicles managed by the firm to include regular liaison with service providers, boards of directors and auditors.
- Preparation of financial returns for various regulators.
- Miscellaneous ad hoc tasks as required.
- 5+ years of experience with a professional accountancy qualification.
- Experience within the financial services industry.
- Excellent attention to detail with analytical mind-set.
- Excellent communication skills both written and oral.
- Experience of working within a team and the ability to be flexible to the demands of the business and the team.
To discuss this opportunity in confidence, contact Matthew Fleming via mfleming@elevatepartners.ie or apply directly via the link provided.
Rolschets
Type baan
Fulltime
Vereiste vaardigheden
Payroll managementTreasury managementAccounts receivable managementAccounts payable managementPreparation of monthly management accountsFinancial projections and forecastingTax return preparation (payroll, VAT, corporation tax)Preparation of annual accounts and statutory reporting (including audit liaison)Administration of collective investment vehicles / fund administrationPreparation of regulatory financial returnsLiaison with third-party service providers, boards of directors and auditors (stakeholder management)Professional accountancy qualification (e.g., ACA/ACCA)Excellent written and oral communicationAttention to detail and analytical mindsetTeamwork and flexibility / adaptability
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