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Financial Controller

Dublin, Leinster Cpl Resources - Finance

Posted 1 day ago

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CPL are currently working with a leading eCommerce Company who is in the process of hiring an experienced Financial Controller to join their team.Excellent opportunity for the right candidate! Position Overview As the FC, you will play a pivotal role in the day-to-day operations and strategic planning of the business managing a small finance team. You will be responsible for overseeing all financial aspects of the company, ensuring financial health, accuracy, and alignment with business objectives. Youll collaborate closely with the CEO to make key business decisions and act as a key driver in our growth and success. This is a unique opportunity for an experienced FC who thrives in a fast-paced, entrepreneurial environment, with the ability to make an immediate impact. Key Responsibilities Strategic Financial Leadership: Work closely with the CEO and leadership team to set financial goals, define business strategy, and drive long-term growth initiatives. Financial Planning & Analysis: Lead financial forecasting, budgeting, and reporting processes. Provide data-driven insights, scenario modelling and recommendations to improve profitability, cash flow, and business performance. Operations & Financial Oversight: Manage day-to-day financial operations, including all operational costs as well as accounting, cash management, financial reporting, and compliance. Team Leadership: Lead and build a high-performing finance team. Provide guidance, mentorship, and development opportunities for staff. Business Partnerships: Partner with other departments (e.g. Marketing, IT, Operations) to ensure alignment of financial targets with business goals and operational strategies. Challenge the norm to drive efficiencies & help identify new revenue streams. Financial Systems & Processes: Drive continuous improvement initiatives including ERP system, financial & operational process improvements to ensure efficiency and scalability as the business expands. Skills & Qualifications Qualified Accountant - minimum 3 years in Financial Controller role Proven experience as a FC, ideally in a small to medium sized business in a fast-growing, entrepreneurial environment. Skilled in modern accounting and CRM / ERP systems with data visualisation experience an advantage. Experienced in working capital and cash flow management Strong financial accounting and key metrics skills Experience developing and managing a highly efficient finance team Commercially astute with a strategic mind-set with the ability to analyse complex financial data and translate it into actionable business insights. Hands-on, results-driven approach with a willingness to get involved in the details and execute day-to-day financial activities. Strong leadership and communication skills with the ability to collaborate across teams and influence key business decisions. Experience working directly with CEOs and executive teams to drive growth and deliver targets. What We Offer Growth Opportunity: This is a unique, hands-on opportunity to shape and lead the financial strategy of an exciting, fast-growing company. Dynamic Team: Be part of a supportive, entrepreneurial leadership team that is passionate about scaling the business and achieving big things. Competitive Salary & Benefits: Attractive compensation package with performance-based incentives, health and pension benefits and an equity incentive. . Impactful Work: Directly contribute to the future success and growth of the business as a key partner to the CEO. For more information, please contact #LI-RW2 Skills: "commercial finance" "M&A" "Financial reproting"
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Financial Controller

Dublin, Leinster FK International

Posted 1 day ago

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Financial Controller Property Position Description An excellent opportunity to head up of the finance function for the Irish operation of a global property consultancy Group, acting as a key member of the local management team. Reporting locally to the MD, with dotted line to Group CFO, key responsibilities will include: Financial Reporting month-end accounts preparation, statutory reporting, year-end and ongoing debtors management Management Reporting - KPI reporting, preparing monthly management reporting pack, variance analysis against budget Tax compliance and reporting Cashflow management and Treasury reporting Financial Systems management Ensuring robust internal controls in place, internal risk management Stakeholder Management local business, Group, external auditors (acting as key liaison) General support to business around strategy implementation, strategic growth, decision making, Group projects and process and operational improvements Hybrid working model. Candidate Background Ideal candidate will have the following background: Qualified Accountant, with a practice training preferably and a minimum of three years PQE in industry in a hands-on accounting position Strong analytical and technical skills Highly organised, ability to thrive in a stand-alone role locally, with support from Group FP&A experience desirable About our Client Our client is a well-established full-service Property consultancy business, with an enviable client base in Ireland. Remuneration Competitive salary and benefits package. Skills: Accounting management Monthly Accounting Statutory Accounting FP&A Financial Control Benefits: Bonus Pension Health
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Financial Controller

Dublin, Leinster Osborne Recruitment

Posted 1 day ago

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Financial Controller Permanent Salary: €75,000 €5,000 Location: Dublin (Hybrid) Hybrid: 12 days per week onsite We are currently recruiting for a Financial Controller to join a rapidly growing organisation in the renewable energy sector. This is a full-time, permanent role offering a hybrid working model with a base in Dublin 8. The ideal candidate will be a qualified accountant with proven experience running the finance function in a high-volume, fast-paced environment. This role presents an excellent opportunity to take full ownership of the finance function and contribute meaningfully to the businesss financial health and strategic growth. Key Responsibilities: Cashflow & Working Capital Management Monitor daily cash position and forecast short- and medium-term cashflow Manage supplier payments in line with cash availability and business priorities Oversee effective and timely debtor collections and customer payment discipline Build and maintain strong relationships with suppliers and manage creditor terms Financial Control Maintain and manage the general ledger and accounting systems Ensure accurate and timely recording of all financial transactions Complete bank reconciliations, journals, accruals, and prepayments Monthly Management Accounts Prepare and present monthly management accounts and variance analysis Support departmental heads with budget tracking and cost control Provide financial insights to support strategic business decisions Compliance & Reporting Ensure timely and accurate filing of VAT and other statutory returns Oversee accurate reporting of WIP and ensure visibility of project profitability Manage all aspects of RCT compliance and reporting Liaise with external auditors, accountants, and financial advisors Ensure compliance with internal financial controls and procedures Team & Process Leadership Manage a small finance team or outsourced partners, where applicable Identify and implement process improvements to increase efficiency and transparency Key Requirements: Qualified Accountant (ACA, ACCA, CIMA or equivalent) 5+ years experience, including 23 years in a lead finance role within a m+ turnover company Sector experience in Solar PV, Construction, or similar (including WIP and RCT exposure) Strong grasp of cashflow and working capital in a tight-margin environment Experience managing high volumes of transactions (e.g., in retail, wholesale, logistics, or services) Proficient in Xero, QuickBooks, Sage or similar, and confident in Excel/Google Sheets Hands-on, commercially minded, and pragmatic in approach Excellent attention to detail, organisational, and stakeholder management skills Desirable: Experience improving or implementing finance systems and processes Exposure to investor or funding-related reporting Familiarity with credit control tools and supplier negotiation strategies Whats on Offer: Ownership of the finance function in a scaling organisation Flexible hybrid working arrangement A dynamic, collaborative, and entrepreneurial team environment Opportunity to make a real impact on company performance and direction For more information, please apply through the link provided for the attention of Fiach OByrne or call Osborne Recruitment on If you are interested in finding out more about the above role and would like to be considered for this or other suitable roles that we may have available for your skill set please attach your CV via the link provided. Please submit your updated CV in Word Format If you are living in Ireland and hold a VALID WORK PERMIT, we would love to hear from you, if however, you do not hold a valid work permit unfortunately we will not be in a position to assist you with your job search. Osborne are proud to be an Equal Opportunity Employer. #INDOSB1 #INDFIABYRNE
This advertiser has chosen not to accept applicants from your region.

Financial Controller

Dublin, Leinster The Panel Group

Posted 1 day ago

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Job Description

Financial Controller, West Dublin About the Role: Reporting to the CEO, the Financial Controller will be a key member of the organisations leadership team. You will oversee the companys financial operations and contribute to the strategic growth of our business and brands. This is an exciting opportunity for an experienced and motivated finance professional to take responsibility for all aspects of the business financial management, accounting, financial reporting, risk management and budget process. They will manage the finance department, ensuring compliance, accuracy, and efficiency of financial information and systems. This role requires strong leadership, excellent financial acumen, and the ability to work in a fast-paced, dynamic business environment. Experience in acquisitions and due diligence is essential. Key Responsibilities: Financial Management & Reporting Prepare and present timely and accurate management accounts and financial reports for the Leadership team. Ensure all company financial figures and reports are accurate, complete, and present a true and fair view of financial performance. Review and support preparation of returns, periodic accounts, operating statements, budgets, and cash flow requirements for all operating units. Lead the timely preparation and audit of annual financial statements. Forecasting for the business and highlighting areas of improvement or concerns. Monitor cash flow, working capital, and liquidity to support business operations and growth strategies. Budgeting & Strategic Planning Coordinate the preparation and consolidation of the annual budgets, working closely with relevant departments. Prepare and update cash flow budgets to assist ongoing operational and strategic financial planning. Liaise with Department Heads to support the financial assessment and budgeting process for proposed business development initiatives. As a Leadership Team member, provide financial insight and contribute to strategic decision making. Team Leadership & Development Manage the finance function (4) ensuring efficient and effective management of financial information and accounts, maintaining accuracy and compliance. Ensure team have clear reporting responsibilities and accountability. Develop and maintain a culture of teamwork, motivation, communication, and continuous individual competence development. Systems & Process Improvement Review debtors and creditors processes; examine current systems and recommend procedural improvements for enhanced efficiency and control. Evaluate and improve management information reporting systems to ensure effectiveness and relevance. Implement best practice accounting procedures in line with statutory and business requirements. Implement and maintain robust financial systems and controls to safeguard company assets. Risk Management & Compliance Advise on, implement, and monitor internal controls and systematic control systems to mitigate financial risk and ensure compliance. Manage all aspects of Revenue returns ensuring full compliance with Irish tax regulations. Liaise with external auditors, tax advisors, and regulatory bodies to ensure smooth audits and regulatory compliance. Mergers & Acquisitions Provide financial expertise and support to project teams, including involvement in mergers and acquisitions activities such as due diligence and integration. Data Protection & GDPR Act as Data Privacy Officer with responsibility for company compliance with data protection regulations (GDPR). The person: Qualified accountant with several years' experience in senior finance roles Proven experience in mergers and acquisitions, including financial due diligence and integration. Strong knowledge of Revenue requirements and compliance in Ireland. Experience managing compliance and data protection (GDPR) requirements. Excellent leadership, communication, interpersonal and relationship building skills. Proven track record of providing strategic financial guidance and support to executive leadership. Proven ability to lead strategic planning initiatives, drive change management processes, and oversee successful programme implementation. Strong expertise in contract management and stakeholder negotiation across a broad range of sectors and interests Salary: €100k plus excellent benefits, including 20% bonus & 10% pension Hybrid working, 2 days on site. Skills: Financial Controller Head of Finance Finance Manager
This advertiser has chosen not to accept applicants from your region.

Financial Controller

Dublin, Leinster Accpro

Posted 1 day ago

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Job Description

My client, based in Dublin 8, is seeking a dynamic and experienced Financial Controller to lead a finance team. This is a strategic leadership role where you'll drive financial reporting, governance, and operational efficiency. Youll be instrumental in shaping the finance function and supporting the companys growth ambitions. Hybrid - 1 day a week from home with 4 in the office. What Youll Do: Lead the financial reporting process across multiple entities Strengthen internal controls and governance frameworks Manage a relatively large finance team. Define and deliver system improvements and automation initiatives Ensure compliance with regulatory and tax obligations Manage treasury operations and banking relationships Provide strategic direction and mentorship to the finance team Collaborate with senior leadership and external stakeholders What Youll Bring: 5+ years in a senior finance leadership role Professional accounting qualification (ACA, ACCA, CIMA) Proven experience in insurance or financial services Strong analytical and forecasting skills Expertise in Irish tax compliance and treasury management Excellent communication, leadership, and problem-solving abilities Skills: financial control controller Benefits: Annual Bonus / 13th Cheque Flexitime
This advertiser has chosen not to accept applicants from your region.

Financial controller

Dublin, Leinster Osborne Recruitment

Posted today

Job Viewed

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Job Description

permanent
Financial Controller Permanent Salary: €75,000 €5,000 Location: Dublin (Hybrid) Hybrid: 12 days per week onsite We are currently recruiting for a Financial Controller to join a rapidly growing organisation in the renewable energy sector. This is a full-time, permanent role offering a hybrid working model with a base in Dublin 8. The ideal candidate will be a qualified accountant with proven experience running the finance function in a high-volume, fast-paced environment. This role presents an excellent opportunity to take full ownership of the finance function and contribute meaningfully to the businesss financial health and strategic growth. Key Responsibilities: Cashflow & Working Capital Management Monitor daily cash position and forecast short- and medium-term cashflow Manage supplier payments in line with cash availability and business priorities Oversee effective and timely debtor collections and customer payment discipline Build and maintain strong relationships with suppliers and manage creditor terms Financial Control Maintain and manage the general ledger and accounting systems Ensure accurate and timely recording of all financial transactions Complete bank reconciliations, journals, accruals, and prepayments Monthly Management Accounts Prepare and present monthly management accounts and variance analysis Support departmental heads with budget tracking and cost control Provide financial insights to support strategic business decisions Compliance & Reporting Ensure timely and accurate filing of VAT and other statutory returns Oversee accurate reporting of WIP and ensure visibility of project profitability Manage all aspects of RCT compliance and reporting Liaise with external auditors, accountants, and financial advisors Ensure compliance with internal financial controls and procedures Team & Process Leadership Manage a small finance team or outsourced partners, where applicable Identify and implement process improvements to increase efficiency and transparency Key Requirements: Qualified Accountant (ACA, ACCA, CIMA or equivalent) 5+ years experience, including 23 years in a lead finance role within a m+ turnover company Sector experience in Solar PV, Construction, or similar (including WIP and RCT exposure) Strong grasp of cashflow and working capital in a tight-margin environment Experience managing high volumes of transactions (e.g., in retail, wholesale, logistics, or services) Proficient in Xero, Quick Books, Sage or similar, and confident in Excel/Google Sheets Hands-on, commercially minded, and pragmatic in approach Excellent attention to detail, organisational, and stakeholder management skills Desirable: Experience improving or implementing finance systems and processes Exposure to investor or funding-related reporting Familiarity with credit control tools and supplier negotiation strategies Whats on Offer: Ownership of the finance function in a scaling organisation Flexible hybrid working arrangement A dynamic, collaborative, and entrepreneurial team environment Opportunity to make a real impact on company performance and direction For more information, please apply through the link provided for the attention of Fiach OByrne or call Osborne Recruitment on If you are interested in finding out more about the above role and would like to be considered for this or other suitable roles that we may have available for your skill set please attach your CV via the link provided. Please submit your updated CV in Word Format If you are living in Ireland and hold a VALID WORK PERMIT, we would love to hear from you, if however, you do not hold a valid work permit unfortunately we will not be in a position to assist you with your job search. Osborne are proud to be an Equal Opportunity Employer. #INDOSB1 #INDFIABYRNE
This advertiser has chosen not to accept applicants from your region.

Financial controller

Dublin, Leinster The Panel Group

Posted today

Job Viewed

Tap Again To Close

Job Description

permanent
Financial Controller, West Dublin About the Role: Reporting to the CEO, the Financial Controller will be a key member of the organisations leadership team. You will oversee the companys financial operations and contribute to the strategic growth of our business and brands. This is an exciting opportunity for an experienced and motivated finance professional to take responsibility for all aspects of the business financial management, accounting, financial reporting, risk management and budget process. They will manage the finance department, ensuring compliance, accuracy, and efficiency of financial information and systems. This role requires strong leadership, excellent financial acumen, and the ability to work in a fast-paced, dynamic business environment. Experience in acquisitions and due diligence is essential. Key Responsibilities: Financial Management & Reporting Prepare and present timely and accurate management accounts and financial reports for the Leadership team. Ensure all company financial figures and reports are accurate, complete, and present a true and fair view of financial performance. Review and support preparation of returns, periodic accounts, operating statements, budgets, and cash flow requirements for all operating units. Lead the timely preparation and audit of annual financial statements. Forecasting for the business and highlighting areas of improvement or concerns. Monitor cash flow, working capital, and liquidity to support business operations and growth strategies. Budgeting & Strategic Planning Coordinate the preparation and consolidation of the annual budgets, working closely with relevant departments. Prepare and update cash flow budgets to assist ongoing operational and strategic financial planning. Liaise with Department Heads to support the financial assessment and budgeting process for proposed business development initiatives. As a Leadership Team member, provide financial insight and contribute to strategic decision making. Team Leadership & Development Manage the finance function (4) ensuring efficient and effective management of financial information and accounts, maintaining accuracy and compliance. Ensure team have clear reporting responsibilities and accountability. Develop and maintain a culture of teamwork, motivation, communication, and continuous individual competence development. Systems & Process Improvement Review debtors and creditors processes; examine current systems and recommend procedural improvements for enhanced efficiency and control. Evaluate and improve management information reporting systems to ensure effectiveness and relevance. Implement best practice accounting procedures in line with statutory and business requirements. Implement and maintain robust financial systems and controls to safeguard company assets. Risk Management & Compliance Advise on, implement, and monitor internal controls and systematic control systems to mitigate financial risk and ensure compliance. Manage all aspects of Revenue returns ensuring full compliance with Irish tax regulations. Liaise with external auditors, tax advisors, and regulatory bodies to ensure smooth audits and regulatory compliance. Mergers & Acquisitions Provide financial expertise and support to project teams, including involvement in mergers and acquisitions activities such as due diligence and integration. Data Protection & GDPR Act as Data Privacy Officer with responsibility for company compliance with data protection regulations (GDPR). The person: Qualified accountant with several years' experience in senior finance roles Proven experience in mergers and acquisitions, including financial due diligence and integration. Strong knowledge of Revenue requirements and compliance in Ireland. Experience managing compliance and data protection (GDPR) requirements. Excellent leadership, communication, interpersonal and relationship building skills. Proven track record of providing strategic financial guidance and support to executive leadership. Proven ability to lead strategic planning initiatives, drive change management processes, and oversee successful programme implementation. Strong expertise in contract management and stakeholder negotiation across a broad range of sectors and interests Salary: €100k plus excellent benefits, including 20% bonus & 10% pension Hybrid working, 2 days on site. Skills: Financial Controller Head of Finance Finance Manager
This advertiser has chosen not to accept applicants from your region.
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Financial controller

Dublin, Leinster FK International

Posted today

Job Viewed

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Job Description

permanent
Financial Controller Property Position Description An excellent opportunity to head up of the finance function for the Irish operation of a global property consultancy Group, acting as a key member of the local management team. Reporting locally to the MD, with dotted line to Group CFO, key responsibilities will include: Financial Reporting month-end accounts preparation, statutory reporting, year-end and ongoing debtors management Management Reporting - KPI reporting, preparing monthly management reporting pack, variance analysis against budget Tax compliance and reporting Cashflow management and Treasury reporting Financial Systems management Ensuring robust internal controls in place, internal risk management Stakeholder Management local business, Group, external auditors (acting as key liaison) General support to business around strategy implementation, strategic growth, decision making, Group projects and process and operational improvements Hybrid working model. Candidate Background Ideal candidate will have the following background: Qualified Accountant, with a practice training preferably and a minimum of three years PQE in industry in a hands-on accounting position Strong analytical and technical skills Highly organised, ability to thrive in a stand-alone role locally, with support from Group FP&A experience desirable About our Client Our client is a well-established full-service Property consultancy business, with an enviable client base in Ireland. Remuneration Competitive salary and benefits package. Skills: Accounting management Monthly Accounting Statutory Accounting FP&A Financial Control Benefits: Bonus Pension Health
This advertiser has chosen not to accept applicants from your region.

Financial controller

Dublin, Leinster Cpl Resources - Finance

Posted today

Job Viewed

Tap Again To Close

Job Description

permanent
CPL are currently working with a leading e Commerce Company who is in the process of hiring an experienced Financial Controller to join their team. Excellent opportunity for the right candidate! Position Overview As the FC, you will play a pivotal role in the day-to-day operations and strategic planning of the business managing a small finance team. You will be responsible for overseeing all financial aspects of the company, ensuring financial health, accuracy, and alignment with business objectives. Youll collaborate closely with the CEO to make key business decisions and act as a key driver in our growth and success. This is a unique opportunity for an experienced FC who thrives in a fast-paced, entrepreneurial environment, with the ability to make an immediate impact. Key Responsibilities Strategic Financial Leadership: Work closely with the CEO and leadership team to set financial goals, define business strategy, and drive long-term growth initiatives. Financial Planning & Analysis: Lead financial forecasting, budgeting, and reporting processes. Provide data-driven insights, scenario modelling and recommendations to improve profitability, cash flow, and business performance. Operations & Financial Oversight: Manage day-to-day financial operations, including all operational costs as well as accounting, cash management, financial reporting, and compliance. Team Leadership: Lead and build a high-performing finance team. Provide guidance, mentorship, and development opportunities for staff. Business Partnerships: Partner with other departments (e.g. Marketing, IT, Operations) to ensure alignment of financial targets with business goals and operational strategies. Challenge the norm to drive efficiencies & help identify new revenue streams. Financial Systems & Processes: Drive continuous improvement initiatives including ERP system, financial & operational process improvements to ensure efficiency and scalability as the business expands. Skills & Qualifications Qualified Accountant - minimum 3 years in Financial Controller role Proven experience as a FC, ideally in a small to medium sized business in a fast-growing, entrepreneurial environment. Skilled in modern accounting and CRM / ERP systems with data visualisation experience an advantage. Experienced in working capital and cash flow management Strong financial accounting and key metrics skills Experience developing and managing a highly efficient finance team Commercially astute with a strategic mind-set with the ability to analyse complex financial data and translate it into actionable business insights. Hands-on, results-driven approach with a willingness to get involved in the details and execute day-to-day financial activities. Strong leadership and communication skills with the ability to collaborate across teams and influence key business decisions. Experience working directly with CEOs and executive teams to drive growth and deliver targets. What We Offer Growth Opportunity: This is a unique, hands-on opportunity to shape and lead the financial strategy of an exciting, fast-growing company. Dynamic Team: Be part of a supportive, entrepreneurial leadership team that is passionate about scaling the business and achieving big things. Competitive Salary & Benefits: Attractive compensation package with performance-based incentives, health and pension benefits and an equity incentive. Impactful Work: Directly contribute to the future success and growth of the business as a key partner to the CEO. For more information, please contact #LI-RW2 Skills: "commercial finance" "M&A" "Financial reproting"
This advertiser has chosen not to accept applicants from your region.

Financial controller

Dublin, Leinster Accpro

Posted today

Job Viewed

Tap Again To Close

Job Description

permanent
My client, based in Dublin 8, is seeking a dynamic and experienced Financial Controller to lead a finance team.

This is a strategic leadership role where you'll drive financial reporting, governance, and operational efficiency.

Youll be instrumental in shaping the finance function and supporting the companys growth ambitions.

Hybrid - 1 day a week from home with 4 in the office.

What Youll Do: Lead the financial reporting process across multiple entities Strengthen internal controls and governance frameworks Manage a relatively large finance team.

Define and deliver system improvements and automation initiatives Ensure compliance with regulatory and tax obligations Manage treasury operations and banking relationships Provide strategic direction and mentorship to the finance team Collaborate with senior leadership and external stakeholders What Youll Bring: 5+ years in a senior finance leadership role Professional accounting qualification (ACA, ACCA, CIMA) Proven experience in insurance or financial services Strong analytical and forecasting skills Expertise in Irish tax compliance and treasury management Excellent communication, leadership, and problem-solving abilities Skills: financial control controller Benefits: Annual Bonus / 13th Cheque Flexitime
This advertiser has chosen not to accept applicants from your region.
 

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