Financial Controller 

August 18, 2026
Application ends: November 17, 2026
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Job Description

Responsibilities:

Financial Control & Reporting

  • Own the integrity and accuracy of the general ledger and financial records for the Irish entity and relevant international entities
  • Lead the month-end, quarter-end, and year-end close processes, ensuring timely and accurate completion
  • Review and approve journal entries, reconciliations, accruals, prepayments, and other accounting adjustments
  • Prepare and review monthly management accounts and financial reporting packages
  • Provide insightful analysis of financial performance, including key variances, trends, and areas requiring management attention
  • Ensure financial reporting is prepared in accordance with applicable accounting standards and company policies
  • Establish and maintain a robust financial control environment, including appropriate review processes and segregation of duties

Revenue Cycle Management

  • Oversee the end-to-end revenue cycle, including invoicing, revenue accounting, reconciliations, collections support, and issue resolution
  • Ensure accurate and timely revenue recognition in accordance with applicable accounting standards and company policies
  • Partner with Sales, Operations, Customer, and other business teams to resolve billing and revenue-related issues
  • Monitor revenue processes and controls and identify opportunities to improve accuracy, efficiency, and scalability
  • Review key revenue reconciliations and reporting on a regular basis

Cash Management & Treasury

  • Own and maintain rolling cash flow forecasts and provide visibility into short- and medium-term cash requirements
  • Monitor daily cash positions across relevant entities and bank accounts
  • Oversee bank reconciliations and payment processes
  • Support treasury activities, including foreign exchange and multi-currency management
  • Manage relationships with banking partners and ensure appropriate controls over cash and payments
  • Provide management with regular reporting and insight into liquidity and cash flow

Are you interested in this position?
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