Finance Manager

Financefair

Dublin

Hybrid

EUR 60,000 - 80,000

Full time

4 days ago
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Benefits offered by this job

Hybrid working
Healthcare plan
Pension & life assurance
Learning & development

Job summary

Financefair is seeking a newly qualified accountant to join the finance team in Dublin. Reporting to the Head of Finance, you’ll deliver monthly management accounts, generate MI, and support budgeting, forecasting and process improvements.

This role offers broad commercial exposure, interaction with senior leadership, and hands-on experience with MI automation. Hybrid work with Fridays remote complements a dynamic, growth-focused fintech environment.

Qualifications

  • Newly qualified accountant with ACA/ACCA/CIMA or equivalent.
  • MI and data analysis experience is a plus but not essential.
  • Strong time management, flexibility and deadline orientation.
  • Commercial mindset, numeracy and attention to detail.
  • Excellent interpersonal and written/verbal communication; confident presenting information.
  • Curious about innovation and using technology to improve processes.

Responsibilities

  • Drive monthly Group Management Accounts with accurate, insightful reporting.
  • Produce and enhance management information; work with tech to automate MI.
  • Contribute to corporate financial forecasting and annual budgeting.
  • Lead ad-hoc projects to improve decision making and efficiency.
  • Oversee end-to-end Accounts Payable and weekly bank reconciliations.
  • Assist with statutory audits and tax compliance obligations.

Skills

Newly qualified accountant
MI & data analysis
Strong numeracy
Excellent communication
Ambitious & self-motivated
Tech-driven innovation

Education

ACA/ACCA/CIMA or equivalent

Job description

About Financefair

Financefair is an Irish fintech company specialising in funding the growth of Irish and overseas SMEs. Over the last 11 years, we have funded over €2.0 billion for a wide range of clients across all sectors.

We are a dedicated team of professionals, and for over a decade we have focused on providing best-in-class financial solutions and customer experience, becoming a trusted finance partner to the businesses we serve. We have ambitious plans to grow our client base and our finance team is central to making these plans a success.

The Role

We are searching for a proactive, ambitious newly-qualified accountant to join our experienced finance team.

Reporting to the Head of Finance, the successful candidate will have the opportunity to play a key role in ensuring that financial and operational excellence prevails across all aspects of the business while working on providing business insights to management.

This role is an ideal first move out of practice, offering broad commercial exposure, direct access to senior leadership and hands-on experience with MI and automation.

The position is based at the company’s head office in Belfield Office Park, Clonskeagh, Dublin with 4 days (Monday to Thursday) in the office and remote working on Fridays.

Key Responsibilities

In this high-impact role, you will work closely with senior management and cross-functional teams, gaining broad exposure across the business while directly influencing financial strategy, operational efficiency, and business performance.

  • Drive Financial Excellence - Take ownership of the monthly Group Management Accounts, with support from the Head of Finance, ensuring accurate and insightful reporting that supports senior leadership in making informed decisions.
  • Shape Strategic Insights - Play a key role in producing, enhancing, and delivering management information. Work closely with the tech team to increase the automation and efficiency of MI.
  • Influence Business Planning - Contribute to the corporate financial forecasting processes which shape the company’s strategy; assist with the annual budgeting process.
  • Be a Change Maker - Get involved in ad-hoc projects, collaborating across departments to deliver financial insights, improve decision making, and implement new processes or systems which enhance operational efficiency.
  • Maintain Strong Financial Oversight - oversee the end-to-end Accounts Payable process and manage weekly bank reconciliations, ensuring robust cost control, efficient supplier payments, and accurate cash reporting.
  • Support Compliance and Governance - Contribute to the annual statutory audit process and assist with tax compliance requirements, ensuring the business meets all regulatory and reporting obligations.
The Ideal Candidate
  • You're a newly qualified accountant (ACA, ACCA, CIMA or equivalent). MI and data analysis experience is a plus but not essential.
  • You manage your time well, stay flexible and are comfortable prioritising your work, meeting deadlines and resolving queries promptly.
  • You're commercially minded, highly numerate and have a sharp eye for detail.
  • You have excellent interpersonal, written and verbal communication skills, and are confident presenting information to others.
  • You're ambitious and self-motivated, with a strong work ethic and the initiative to take things forward.
  • You enjoy questioning how things are done and using technology to work more efficiently.
  • You're curious about innovation and technology.
Working at Financefair
  • Competitive salary with performance-related bonus opportunity
  • Hybrid working, with remote working every Friday
  • A contribution to a healthcare plan of your choice or gym membership
  • A contributory pension scheme with life assurance and other insurances
  • A company that invests in the learning and development of its people
  • A great team with a good sense of fun
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