Background
Join a well-established property development and construction group operating across multiple entities in Ireland. This is an excellent opportunity for an experienced finance professional to support day-to-day accounting operations, cashflow management, tax compliance, and financial reporting within a dynamic and growing business.
Responsibilities
• Manage supplier and subcontractor accounts, reconciliations, and queries
• Maintain cashbooks, bank reconciliations, and cashflow reporting
• Prepare VAT returns and support RCT compliance requirements
• Maintain sales ledger and process cash receipts
• Reconcile key control accounts and support month-end activities
• Assist with statutory accounts preparation and finance projects
Key Skills Required
• 3–5+ years’ experience in a finance, accounting, or accounts payable role
• Strong construction, property development, or project-based accounting experience
• Proven knowledge of VAT, RCT, reconciliations, and supplier management
• Strong Excel and financial systems skills (ERP experience desirable)
• Ability to manage multiple priorities in a fast-paced environment
• Excellent communication skills and attention to detail
What’s on Offer
• Competitive salary package
• 24 days annual leave
• Pension scheme
• Comprehensive health and well being benefits