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Spanish Point Technologies in Dublin is seeking a Finance Business Partner to join the Finance team, reporting directly to the CFO. You will drive budgeting, forecasting and FP&A activities, delivering accurate forecasts and long‑term budgets aligned with strategic goals.
You will also prepare monthly board packs, lead data digitalisation and automation projects, support month‑end consolidation, and build strong stakeholder relationships while strengthening governance and internal controls.
Spanish Point Technologies is an innovative software company specialising in Microsoft technologies to provide business systems that streamline processes, enhance productivity, and facilitate access to critical business information. Established in 2005 and headquartered in Dublin, Ireland, we offer consulting and solution building services using Microsoft's core information worker and related technologies. Our services encompass design, implementation, project management, training, and ongoing technical support.
A new role has arisen for a Finance Business Partner with Spanish Point Technologies reporting directly to the CFO.
As Spanish Point Technologies expands in both Ireland and the UK, there is an exciting opportunity to join the Finance team. The successful candidate will need to professionally manage and interact with a wide array of stakeholders, including but not limited to our Practice Leads, Private Equity partners, Auditors and Tax advisors. The successful candidate should be able to demonstrate strategic vision, innovation, and creativity as well as a commitment to driving the best results for Spanish Point Technologies.
Prepare and lead the Latest Expected and Budget processes, partnering with the Spanish Point Technologies Management Team to develop accurate forecasts and long‑term budgets. Ensure financial plans are aligned with organisational goals and support proactive financial decision‑making.
Responsible for the preparation and delivery of comprehensive monthly Board packs, providing clear and timely financial and operational insights to support Board‑level decision‑making. This includes analysing monthly financial results against budget and forecast, preparing variance analysis, reporting on key performance indicators, cash flow and working capital, and highlighting key business risks and opportunities. Ensures financial information is accurate, clearly presented and supported by meaningful commentary, with key issues and actions clearly identified for the Board.
This will involve identifying opportunities to reduce manual data collection and reporting processes, improving the integration and consistency of data from different systems, and developing more automated reporting and dashboards.
Work closely with the wider Finance team to ensure the timely and accurate consolidation of financial results across the Group.
Engage professionally with stakeholders across Spanish Point to ensure seamless financial operations and compliance.
Develop and embed a strong governance culture by ensuring adherence to appropriate financial controls. Drive continuous improvement in governance and risk compliance.
Note: This job description is provided for informational purposes and may be subject to change. For the most current information about the position, please contact recruitment@spanishpoint.ie