The Role
Group Finance Manager - Permanent
Location: Dublin 15
HYBRID: 3/2, 35 hour week
Report to: CFO
To support the financial management of the organisation by delivering accurate reporting, assisting with budgeting and forecasting, maintaining strong financial controls and supporting operational cost management.
Key Responsibilities
1. Financial Reporting & Month-End
• Prepare monthly management accounts and variance analysis.
• Assist in year-end statutory accounts preparation.
• Ensure accurate journal postings and reconciliations.
• Support audit preparation (external).
2. Budgeting & Forecasting Support
• Assist with annual budgeting and quarterly forecasting.
• Support financial modelling under supervision.
3. Cost & Inventory Control
• Support monitoring of production costs and cost of goods sold (COGS).
• Assist with inventory valuation, stock reconciliations and expiry provisions.
• Work closely with supply chain and operations to ensure financial accuracy.
4. Cash Flow & Working Capital
• Assist with cash flow reporting and analysis.
• Monitor receivables, payables, and inventory levels.
• Support working capital improvement initiatives.
• Treasury Management
5. Systems & Process Improvement
• Support ERP system improvements.
• Identify process efficiencies within finance operations.
• Assist in automation initiatives and reporting improvements.
The Person
• 5-10 year’s experience in a similar role.
• Previous experience managing a team
• Fully Qualified Accountant
• Necessary to have operational and commercial experience as part of a previous finance role.
• Experience in manufacturing or pharmaceutical industry advantageous but not essential.
• Strong Excel skills.














