We are working with a large Irish PLC to appoint a Reconciliation Accountant into a central finance team.
This role is well suited to an accounting technician or part -qualified accountant with strong reconciliation experience.
Responsibilities:
Preparing and reconciling high -volume cash and bank transactions across multiple channels.
Reviewing and posting journals to the general ledger, ensuring accuracy and completeness.
Investigating and resolving reconciling items and discrepancies.
Supporting wider finance operations, including treasury, accounts payable, and reporting.
Requirements:
4+ years' in a similar role.
Experience working with large volumes of financial data and reconciliations.
Strong Excel skills with excellent attention to detail.
Proactive, deadline -focused, and comfortable working in a team -based environment.
This role offers a stable, well -structured finance setting with the opportunity to gain broader exposure across core accounting and operational finance functions.
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