Part-Time Financial Controller - Growth & Strategy

Barden | B Corp

Cork

On-site

EUR 42,000 - 66,000

Part time

41 hours ago
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Job summary

Barden | B Corp in Cork, Ireland, is seeking a part-time Financial Controller to lead day-to-day finance, month-end reporting and cash flow management. The role involves implementing best-practice systems and controls while partnering with leadership to drive performance.

You will work closely with a charismatic leader in a growth-focused SME environment, contributing to budgeting, forecasting, and strategic financial insights. This is a hands-on, entrepreneurial opportunity in a dynamic team.

Qualifications

  • Qualified Accountant with 5+ years PQE.
  • Strong analytical, presentation and communication skills.
  • Proven ability to influence at all levels in the organization.
  • Ability to prioritize workload to meet deadlines.
  • Organized and efficient personality, positive attitude.

Responsibilities

  • Monthly and year end reporting, investigation of variances and overall results to assist business performance.
  • Continuous improvement initiatives, leveraging existing and new technologies to enhance the control environment and improve all elements of financial information.
  • Regular commercial reporting to Executive management providing insights that are accurate and timely to support strategic planning and decision making.
  • Maintain a strong control environment during a period of growth and expansion.
  • Contribute towards the strategies for driving revenue growth and cost efficiencies.
  • Provide strong balance sheet and working capital management.
  • Assist with the preparation and coordination of the budgeting and forecasting process.

Skills

Strong analytical skills
Presentation skills
Communication skills
Influence across organization
Prioritization
Organized and efficient

Education

Qualified Accountant with 5+ years PQE

Job description

Barden | B Corp in Cork, Ireland, is seeking a part-time Financial Controller to lead day-to-day finance, month-end reporting and cash flow management. The role involves implementing best-practice systems and controls while partnering with leadership to drive performance.

You will work closely with a charismatic leader in a growth-focused SME environment, contributing to budgeting, forecasting, and strategic financial insights. This is a hands-on, entrepreneurial opportunity in a dynamic team.

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