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Tourism Ireland is seeking a Finance Coordinator to oversee day-to-day General Ledger and budgeting activities from the Dublin/Coleraine offices. You will prepare monthly management reports, manage Crystal reporting, and ensure timely close processes in line with the public pay policy.
The role requires budgeting experience, strong Excel skills, and the ability to communicate complex data across global teams. Occasional unsocial hours and travel may be required.
Tourism Ireland is seeking a Finance Coordinator to oversee day-to-day General Ledger and budgeting activities from the Dublin/Coleraine offices. You will prepare monthly management reports, manage Crystal reporting, and ensure timely close processes in line with the public pay policy.
The role requires budgeting experience, strong Excel skills, and the ability to communicate complex data across global teams. Occasional unsocial hours and travel may be required.