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Finance Analyst

Ayvens Insurance

Dublin

On-site

EUR 35,000 - 45,000

Full time

Today
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Job summary

A financial services company seeks a Finance Analyst to deliver efficient finance services. Responsibilities include managing accounts payable, banking, cash management, and supporting financial reports. Ideal for candidates with a degree in finance and strong analytical skills. Offering benefits like health care and a performance bonus.

Benefits

Medical Aid / Health Care
Performance Bonus
Pension Fund
Paid Holidays
Parking
Gym

Qualifications

  • Strong customer service skills and willingness to work in an international environment.
  • Pursuing accounting qualification is a plus.

Responsibilities

  • Responsible for daily Accounts Payable activities processing incoming AP invoices.
  • Prepare the daily cash management position and report it to relevant parties.
  • Update the General Ledger with investment transactions and banking activities.
  • Support month-end closing activities ensuring accuracy and timeliness.
  • Take part in ad-hoc financial projects and process improvement activities.

Skills

Analytical skills
Problem-solving abilities
Excellent IT skills
Interpersonal skills
Communication skills
Time management
Organisational skills
Team player

Education

Bachelor's degree in finance or similar
Job description
Overview

Finance Analyst Accounts Payable, Cash Management and Treasury – Ayvens Insurance

Location: Leopardstown, Dublin 18

Job Purpose

The Finance Analyst will work as part of the Finance Team of Ayvens Insurance to ensure an efficient service is delivered to all parties both internally and externally.

Responsibilities
  • Responsible for daily Accounts Payable activities processing incoming AP invoices on Cevinio (Accounts Payable tool) and SAP GL, initiating payments run
  • Responsible for daily Banking and Cash Management activities; preparation of the daily cash management position and the timely reporting to the relevant parties
  • Responsible for updating the General Ledger with investment transactions (Deposits & Bonds), invoices, receipts, incoming and outgoing banking transactions
  • Responsible for daily Treasury activities; requesting rates on deposits placements, proposing deposit placements for approval, placing approved deposits with the Financial Institutions
  • Assist in preparing insightful reports to analyse investment performance
  • Updating the General Ledger with journals and investment transactions (Deposits & Bonds), invoices, receipts, etc.
  • Responsible for completing monthly control reconciliations
  • Support month end closing activities, ensuring accuracy and timeliness
  • Take part in ad-hoc financial projects and process improvement activities as required
  • Support of annual Group, Statutory or other audit activities as required
  • Support of Risk and Compliance related activities
  • Support on the preparation of presentations and analysis as required
Knowledge
  • Strong academic history, minimum of a Bachelors degree in finance or similar qualification
  • Strong customer service skills and willingness to work in an international environment
  • Pursuing accounting qualification is a plus
Skills
  • Excellent analytical skills and problem-solving abilities
  • Excellent IT skills
  • Excellent interpersonal and communication skills with the ability to work across departmental and organisational lines
  • Ability to operate within strict reporting deadlines
  • Strong time management and organisational skills with the ability to prioritise workload and multitask
  • Excellent team player who fully participates in and supports departmental initiatives
Benefits

Medical Aid / Health Care; Performance Bonus; Pension Fund; Paid Holidays; Parking; Gym

Seniority level
  • Entry level
Employment type
  • Full-time
Job function
  • Finance and Sales
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