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Financial Accountant

Designer Group
CompanyDesigner Group
CategoryFinance
LocationDublin
RemoteHybrid
EmploymentFull-time
LevelNot stated
SalaryNot stated by the employer
Posted14 Jul 2026
Last verified7 Aug 2026
SourceEmployer ATS (workable)
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Description
About the role Designer Group is seeking a Financial Accountant to join our Finance team in Dublin. This is a strong opportunity for a recently qualified accountant who wants to build their career in a fast-paced, international engineering and construction business. Reporting to the Financial Controller, you will support month-end reporting, reconciliations, tax compliance, payroll review, audit preparation and wider finance projects across the business. You will be joining Designer Group at an exciting stage of growth, with a strong pipeline of work across Ireland, the UK, Europe and international markets. About Designer Group Designer Group is a leading international mechanical and electrical engineering provider. We deliver high-quality M&E services across sectors including data centres, life sciences, commercial, industrial, infrastructure and energy.  Headquartered in Dublin, we work with some of the world’s largest multinational companies, delivering ambitious, innovative and sustainable engineering solutions.  Our people are central to our success. We invest in training, development and progression, and we are proud to have built a team that delivers safely, efficiently and to the highest industry standards. Our values are simple: Safe. Trust. Respect. Challenge. Deliver. What you will do As Financial Accountant, you will support the Financial Controller and wider Finance team across core accounting, reporting and compliance activity.  Your responsibilities will include: ·        Supporting the preparation of monthly management accounts and reporting packs ·        Posting monthly general ledger journals ·        Reviewing bank reconciliations ·        Reviewing supplier reconciliations ·        Managing intercompany reconciliations across the group ·        Maintaining the fixed asset register and lease records ·        Preparing and reviewing monthly balance sheet reconciliations ·        Preparation of returns for Tax & Statutory bodies - VAT, PAYE, WHT, CSO ·        Manage AP team including reporting on metrics ·        Supporting payroll and expenses processes ·        Month-end close process to ensure deadlines are met ·        Annual audit file preparation ·        Working on finance improvement projects to support business performance ·        Helping ensure the Finance team delivers accurate, timely and reliable information to the wider business