Finance Manager

Pearse Portfolio

Dublin

On-site

EUR 65,000 - 90,000

Full time

34 hours ago
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Job summary

Pearse Portfolio is seeking a Finance Manager in Dublin to join a lean finance team and own the full finance cycle. You’ll execute AP/AR, bank reconciliations, cash management, month-end close and FP&A while reporting to the Finance Director.

Working closely with the FD, you’ll gain exposure to a private equity-backed environment, contribute to lender reporting, covenant calculations and Board reporting within a growing asset-based business.

Qualifications

  • ACA/ACCA/CIMA qualification or equivalent.
  • 4–6 years PQE in a hands-on finance role.
  • Proven experience with month-end close, journals and reconciliations.
  • Direct AP/AR experience and cash management.
  • Experience in private equity-backed environments is a plus.
  • Dublin-based or able to work on-site in Dublin.

Responsibilities

  • Own end-to-end AP including invoicing, coding, approvals and payments.
  • Support AR including invoicing, cash allocations and collections.
  • Perform regular bank reconciliations.
  • Manage daily cash positions and short-term forecasting.
  • Execute payments and banking mandates in a controlled environment.
  • Support debt service payments and treasury activity.
  • Lead month-end close and related balance sheet reconciliations.
  • Produce monthly management accounts (P&L, balance sheet, cash flow, KPIs).
  • Provide variance analysis across Opex and Capex.
  • Assist budgets, reforecasts and rolling cash flow.
  • Prepare inputs for Board reporting and long-term financial model.
  • Support lender reporting and covenant calculations.
  • Assist audit, tax and statutory processes.
  • Own ERP data integrity and finance process improvements.

Skills

End-to-end finance
AP
AR
Bank reconciliations
Cash management
Month-end close
FP&A
Excel
ERP systems
Stakeholder communication

Education

ACA/ACCA/CIMA

Tools

Dynamics 365 Business Central

Job description

Pearse Portfolio is supporting a PE-backed infrastructure and environmental services business on a key Finance Manager search, based in Dublin.

About the Role

This is a broad, hands-on Finance Manager role within a lean finance team, reporting to the Finance Director. Rather than overseeing the finance function from a distance, you'll personally execute the full finance cycle - AP, AR, bank reconciliations, cash management, month-end close, management accounts and FP&A.

Working closely with the FD, you'll also build exposure to a private equity-backed environment, supporting lender reporting, covenant calculations, Board and shareholder reporting, and the broader financial model.

Responsibilities

  • Owning and personally executing end-to-end AP, including invoice processing, coding, approvals, supplier reconciliations and payment runs
  • Supporting AR, including customer invoicing, cash allocation, reconciliations, credit notes and collections
  • Performing regular bank reconciliations across the business
  • Managing daily/weekly cash positions and short-term cash forecasting
  • Executing payments and maintaining banking mandates within a controlled environment
  • Supporting debt service payments and related treasury activity
  • Running month-end close, including journals, accruals, prepayments and balance sheet reconciliations
  • Producing monthly management accounts covering P&L, balance sheet, cash flow and KPIs
  • Preparing variance analysis across operating and capital expenditure
  • Supporting budgets, reforecasts and rolling cash flow
  • Preparing financial inputs for Board reporting and the long-term financial model
  • Supporting the Finance Director with lender reporting and covenant calculations
  • Supporting audit, tax and statutory processes
  • Day-to-day ownership of the finance ERP and integrity of data and processes
  • Documenting and improving finance processes and controls as the finance function develops

Candidate requirements

  • ACA, ACCA, CIMA or equivalent
  • Approximately 4-6 years PQE in a hands-on finance role
  • Proven experience running a full month-end close, including journals, reconciliations and management accounts
  • Direct, practical experience across AP and AR rather than simply overseeing these activities
  • Strong experience with bank reconciliations, cash management and payment processing
  • Strong Excel and ERP skills
  • Self-sufficient and practical, with the ability to operate independently within a lean finance team
  • Strong attention to detail and comfortable working to a regular monthly timetable
  • Clear communicator, with confidence dealing with senior stakeholders, auditors and advisors
  • Dublin-based or able to work full-time on-site in Dublin
  • Experience within infrastructure, environmental services, utilities, energy or another asset-based business
  • Exposure to a private equity-backed or other investor-backed environment
  • Experience with debt or project finance structures, lender reporting, covenant calculations or controlled accounts
  • Experience supporting Board, shareholder or investor reporting
  • Dynamics 365 Business Central or comparable ERP experience
  • Experience of an ERP implementation, finance transformation or setting up finance processes within a standalone business
  • Irish VAT and statutory compliance experience
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