Accounting Manager - 12 Month Contract at Expeditors
Dublin, County Dublin, Ireland -
Full Time


Start Date

Immediate

Expiry Date

15 Jul, 25

Salary

0.0

Posted On

16 Apr, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Leadership, Presentation Skills

Industry

Accounting

Description

Company Description
“We’re not in the shipping business; we’re in the information business” -Peter Rose, Expeditors Founder

Global supply chain management is what we do, but at the heart of Expeditors you will find professionalism, leadership, and a friendly environment, all of which foster an innovative, customer service-based approach to logistics.

  • 15,000 trained professionals
  • 250+ locations worldwide
  • Fortune 500
  • Globally unified systems

Job Description
Manages a solid team by driving all the Accounting operations within the company, Capital Expenditure, GL Reconciliations, and assisting the Controller with the company’s financial affairs.

QUALIFICATIONS

  • Fully qualified in ACCA /ACA or CIMA
  • 5 Years previous experience
  • Strong Accounting and Finance knowledge
  • Leadership
  • Adaptability
  • Presentation skills
  • Analytical thinking
  • Problem solving
  • Financial fluency
  • English language proficiency
Responsibilities
  • Preparation of Monthly Management Accounts to strict deadline
  • Preparation of Quarterly Financial reporting package to US parent
  • Preparation of Departmental P&L’s
  • Budgets - Assist District Managers in preparation the yearly budgets for all branches for review by the Financial Controller
  • Annual audits - prepare files for Internal and External audits, liaise with auditors and deal with any queries
  • Review of exception reports eg. Bank Reconciliation - review and ensure any follow up work is completed, BNP - investigate why files are showing losses and communicate with operations to correct,
  • Income/Corporation Tax – minimum requirement that the individual has an understanding of broad principles
  • Need to understand operation systems and be capable handling queries - training will be provided
  • Ad Hoc projects eg. Management requests for cost analysis, provide staff training
  • Maintaining the Fixed Asset Register
  • Upload and analyze CASS (Cargo Accounts Settlement System)
  • To maintain Vat & Duty requirements with customs and in accordance with corporate policy
  • Assist with accounts receivable and accounts payable process improvements.
  • Audit proof of cash and fixed asset reconciliation
  • Contribute actively to Profit and Loss statement (PnL) preparation with the Finance Controller for regional reporting submission
  • File PnL reporting
  • Prepare external financial statements for external audit
  • Plan external legal audit intervention
  • Prepare all documentation as required for external and internal audits
  • File tax returns to authorities and work with the Finance Controller and experts on any tax issues
  • Deal with any risk areas identified for internal control
  • Assist as back-up to credit controller duties
  • Control payroll and processing
  • Administrative tasks; filing banking, insurance, legal documents
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