Model: Hybrid Model.
Shift: 6AM-3PM.
Responsibilities:
- Maintain accurate Balance Sheet schedules and ensure clean Trial Balance monthly.
- Lead Record to Report (R2R), Inventory Accounting, Treasury & Cash Management processes.
- Oversee Procure to Pay (P2P) and Order to Cash (O2C) workflows.
- Manage tax compliance in AU/IRE (BAS, VAT3, CT1) including reconciliations and filings.
- Handle treasury operations including bank reconciliations, payment runs, and cash forecasting.
- Lead budgeting, forecasting, and cost center performance review.
- Prepare monthly P&L variance reports, KPI dashboards, and executive summaries.
- Partner with operations and senior management to support strategic planning and financial modeling.
Requirements:
- Proven experience in handling end-to-end accounting and FP&A.
- Strong understanding of Australian and Irish tax/compliance requirements.
- Working knowledge of ERP systems (D365 preferred).
- Experience in reporting: Power BI, Tableau, Excel (Advanced Pivot/Macros).
- Experience in pharma, biotech, or manufacturing sectors desirable.
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