Financial Accountant: Cash Flow, VAT & Reporting

Liebherr Maritime Cranes

Killarney

On-site

EUR 60,000 - 80,000

Full time

7 hours ago
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Benefits offered by this job

Competitive Salary
Paid overtime
End of Year Bonus
Pension Scheme
Service Pay
Early finish on a Friday
21 days annual leave + length of служe
Company fixed days
Subsidised canteen
Sports and Social Club
Retailer Discounts
Life Assurance
Refer a friend Scheme
Maternity Pay
Educational assistance
Career progression opportunities
CV not accepted by email note

Job summary

Liebherr Container Cranes Ltd. in Killarney, Ireland, is seeking an experienced finance professional to join our finance team and manage monthly management accounts, VAT filings, cash flow forecasting, and intercompany reconciliations.

You will process employee expenses, supplier payments, bank reconciliations, and assist in audit processes, with a strong focus on accuracy, planning, and teamwork. Competitive salary, benefits, and opportunities for career progression are offered.

Qualifications

  • Strong knowledge of accounting principles, regulations, and tax laws.
  • Excellent written and verbal communication skills.
  • Ability to multi-task and meet deadlines under pressure.
  • Highly accurate with strong attention to detail.
  • Proven ability to work well in a team and contribute to audits.

Responsibilities

  • Monthly management accounts.
  • Process employee expenses and advances.
  • Cash flow forecasting.
  • Bank reconciliations.
  • Cash management.
  • Supplier payments.
  • Issuance of guarantees and letters of credit.
  • Supplier reconciliations including intercompany.
  • Assist in audit processes.
  • VAT filings.
  • Prepare statistic reports.
  • Ad hoc project work.
  • Other duties as assigned by the Department Manager.

Skills

Accounting principles
Communication
Attention to detail
Deadline-driven
Teamwork
Analytical skills
Leadership

Job description

Liebherr Container Cranes Ltd. in Killarney, Ireland, is seeking an experienced finance professional to join our finance team and manage monthly management accounts, VAT filings, cash flow forecasting, and intercompany reconciliations.

You will process employee expenses, supplier payments, bank reconciliations, and assist in audit processes, with a strong focus on accuracy, planning, and teamwork. Competitive salary, benefits, and opportunities for career progression are offered.

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