Start Date
Immediate
Expiry Date
26 Oct, 25
Salary
0.0
Posted On
26 Jul, 25
Experience
5 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Management Skills, Communication Skills, Business Knowledge
Industry
Financial Services
Swyft Energy is a leading provider of solar PV and energy efficiency solutions, helping thousands of property owners across Ireland reduce their carbon emissions and energy costs.
Following our recent acquisition by Bord Gáis Energy, we are now part of one of Ireland’s most trusted energy brands—allowing us to scale faster, reach more customers, and continue driving Ireland’s transition to a low-carbon future.
Our mission remains the same: to simplify and accelerate the adoption of sustainable home energy solutions through cutting-edge technology and a passionate, driven team.
QUALIFICATIONS AND SKILLS:
· An experienced Financial Controller
· Qualified Accountant ACA, ACCA, or CIMA
· 5+ Year’s post qualification experience
· Experience in financial software packages
· Strong people & management skills
· Sound business knowledge
· Accuracy and eye for detail
· Prioritise work based on business and statutory needs
· Ability to work under pressure autonomously and as part of a team
· Good oral and written communication skills
· Excellent analytical and numerical abilities
· Ability to identify and drive new processes and continuous improvement initiatives
· Strong knowledge of Irish GAAP and tax regulations.
Job Type: Full-time
Pay: €1.00-€2.00 per year
Work Location: In perso
The role involves managing both the financial and management accounting aspects of Swyft Energy based in the Bord Gáis Energy office at Cork Airport Business Park.
Responsibilities:
· Manage P&L and Balance Sheet
· Prepare and present management accounts timely on a monthly basis
· Deliver financial and management reports including aspects of projections/financial modelling/budgeting and ad hoc reporting as required.
· Report accounts and finance updates to the Bord Gáis Energy finance team.
· Manage AR (including grants), AP, Bank, POP, inventory control, and asset register.
· Cashflow forecasting
· Product costing reviews, margin analysis and overhead reporting
· Process and file all revenue returns (VAT, RCT, PAYE) as well as liaising with revenue on any queries
· Manage payroll for employees and contractors
· Ensure that the business remains compliant with statutory, legal and insurance requirements
· Work with external partners to prepare year-end accounts for statutory reporting.
· Prepare annual budgets and interim forecasts when required
· Manage financial administrative roles