About Manda
Manda is a global provider of enterprise electronics supply chain services and IT asset lifecycle solutions. Our core offerings include data center decommissioning, high-performance computing (HPC) infrastructure supply, and IT asset disposition (ITAD), delivered with a focus on compliance, security, and efficiency. Headquartered in Dublin, Ireland, we support partners and clients worldwide across EMEA, North America, and APAC.
Position Overview
Manda is seeking a qualified accountant for our Dublin headquarters to oversee group-level finance and ensure alignment with Irish financial regulations. In this role, you will manage the company’s financial records, ensuring that all transactions are accurately recorded and day-to-day accounting processes run smoothly. You will develop and oversee financial policies and procedures, prepare accurate statements and reports for both internal and external stakeholders, and ensure ongoing compliance with Irish tax laws. As part of Manda’s entrepreneurial center, you will collaborate with various departments to keep financial data current, analyze data to inform business decisions, and manage budgeting and forecasting efforts to support Manda’s strategic growth.
Key Responsibilities
• Develop and Maintain Financial Policies and Procedures: Establish and refine accounting standards, workflows, and internal controls to ensure consistency and compliance.
• Prepare Financial Statements and Reports: Produce monthly, quarterly, and annual financial statements for the management team and external stakeholders.
• Ensure Compliance: Stay current with Irish tax laws and regulations; oversee tax filings (corporate tax, VAT, payroll) and liaise with relevant authorities.
• Collaborate Across Departments: Work with sales, procurement, and the UK operations team to verify that financial data is accurate, up-to-date, and properly recorded.
• Conduct Financial Analysis: Provide management with meaningful insights and recommendations, leveraging data to guide business decisions.
• Manage Budgeting and Forecasting: Lead annual budget planning, monitor variance, and update forecasts in line with evolving priorities.
Required Skills and Qualifications
• Education & Certification: Bachelor’s degree in Accounting, Finance, or related discipline; CPA/ACCA/ACA qualification preferred.
• Accounting Expertise: Excellent knowledge of accounting principles, financial reporting, and tax laws, ideally within the Irish regulatory framework.
• ERP Proficiency: Experience with financial software and systems—ideally Infor SyteLine—along with advanced Excel skills.
• Communication & Interpersonal Skills: Strong ability to work effectively with other departments and external stakeholders; clear and concise in delivering financial information.
• Multitasking & Problem-Solving: Proven capability to manage multiple tasks simultaneously, adapt to changing priorities, and use sound financial data to inform decision-making.
• Attention to Detail: Rigorous approach to accuracy in reports, filings, and all financial processes.
How to Apply
Please send your CV and a brief cover letter specifying the role you’re applying for to: [email protected]
We will reach out to shortlisted candidates and schedule interviews.