Group Treasury Financial Control ( Manager level )Banking client - City based - Dublin Key Responsibilities: Improvement of accounting processes and outputs, particularly in the area of IFRS Hedge accounting. Be proactive in providing expertise in collaboration with colleagues across Capital Markets Delivery of high quality financial and management reports to the business units Provide support to the monthly and quarterly close process, Assistance in setup and review of controls. Review of all reports, ensuring that the appropriate supporting detail is in place to substantiate the final balances. Support the group and subsidiary statutory accounts processes. Experience Management experience knowledge and experience in implementing IFRS accounting Experience in the Banking Industry. Education / Qualification Qualified Accountant. Key Skills Financial Accounting
Please call Tara directly on 01/4744605 or email your resume to tara@sigmar.ie |