Rapidly expanding Irish company in the leisure industry


The Role

  • Work with the management team to grow the business by formulating robust strategies and plans and specifically providing a financial perspective on innovation, investments, M&A and capital management as applicable.
  • Preparation and interpretation and presentation to the board of monthly management accounts, including P&L, B/S, cash-flow, and capital expenditure performance
  • Manage and coordinate all reporting in the business
  • Preparation and presentation of detailed annual budgets and 3-year forecasts
  • Provide financial analysis and guidance on all activities, plans, targets and business drivers
  • Take responsibility for working capital management, developing and implementing appropriate policies
  • Develop and maintain internal controls to safeguard the financial assets of the business and oversee the coordination and activities of independent auditors ensuring all compliance issues are met
  • Ensure all regulatory requirements are met
  • Manage the capex in the business
  • Manage relationships with key stakeholders (internal and external.)
  • ⦁ Manage the IT infrastructure of the business

The Person

  • Ability to work across a range of finance functions
  •  Qualified Accountant
  • All MS Office packages. Advanced Excel skills
  • Strong influencing skills and experience of working at senior levels and with colleagues across different departments
  • Excellent communication skills
  • Experience working in a target driven environment
  • Proactive and capable of driving change
  • A can-do attitude with great leadership skills

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