Financial Controller at Broadlake Capital

Position Financial Controller
Posted 22 Jul 2026
Expired 21 Aug 2026
Company Broadlake Capital
Location Dublin | IE
Job Type Full Time

Job Description:

Latest job information from Broadlake Capital for the position of Financial Controller. If the Financial Controller vacancy in Dublin matches your qualifications, please submit your latest application or CV directly through the updated Jobkos job portal.

Please note that applying for a job may not always be easy, as new candidates must meet certain qualifications and requirements set by the company. We hope the career opportunity at Broadlake Capital for the position of Financial Controller below matches your qualifications.

Job Description

Job Specification: Financial Controller Broadlake Capital Location: Ireland, Dublin preferred | Reporting to: Group CFO Role Overview The Financial Controller will oversee the financial control environment across Broadlake Capitals group structure, including holding entities and portfolio investments. This senior role combines traditional financial control with technical accounting judgement and a broad operational remit across treasury, fund flows, tax coordination, M&A execution, restructurings, statutory compliance, governance and internal audit. The role will manage a small central finance team and build strong working relationships with CFOs and Finance Directors across portfolio companies, ensuring consistent standards, visibility and alignment across the platform. Key Responsibilities Financial control,reportingand technical accounting: Oversee monthly and annual reporting, group consolidation, accounting standards compliance, external audit processes and the financial control framework; provide technical accounting input on complex transactions, acquisitions, disposals, restructurings, impairments, revenue recognition and investment accounting. Tax management: Liaise with external tax advisors, oversee corporation tax, VAT and other filings, support tax planning, and ensure alignment between group structure, transactions and tax outcomes. Treasury, liquidity and banking: Manage cash visibility, liquidity, banking relationships, funding arrangements, debt positions, covenant compliance and controls over movement of funds. Fund flows and portfolio coordination: Oversee capital injections, distributions, intercompany funding, management charges and portfolio cash flow visibility, ensuring flows are controlled, documented and legally aligned. M&A and transactions: Act as finance lead on acquisitions, disposals and refinancings; coordinate financial due diligence; manage funding flows and completion mechanics; support post-acquisition integration. Corporate restructuring: Lead entity rationalisation, reorganisations and structure optimisation, working closely with legal and tax advisors and ensuring governance and execution discipline. Statutory filings and company secretarial: Oversee statutory filings, regulatory requirements, statutory books, board/shareholder documentation, resolutions and approvals; act as primary liaison with company secretarial providers. Internal audit and controls: Establish and manage a risk-based internal audit framework covering financial controls, treasury, fund flows, compliance and governance; track remediation of control weaknesses. Team leadership and portfolio engagement: Manage and develop a small central finance team; build strong relationships with portfolio CFOs/FDs; promote consistent reporting, controls and governance standards. Systems, processes and scalability: Improve finance systems, data quality, reporting efficiency, automation and standardisation to support complex structures, transaction activity and continued growth. Candidate Profile Qualified accountant (ACA / ACCA / CPA) with 1015 years experience across private equity, investment, corporate, Big 4 and/or industry environments. Proven experience in multi-entity financial control, tax compliance and planning, treasury, fund flows, M&A, integration, restructurings, statutory reporting and governance. Strong technical accounting capability, including application of accounting standards to complex group structures, transactions, consolidations, intercompany arrangements, capital structures and fund flows. Track record of managing teams and engaging effectively with senior finance stakeholders, including portfolio CFOs/FDs, investment teams and external advisors. Personal Attributes Organised, structured, thoughtful and a strong team player, with a pragmatic, solutions-oriented approach, strong control mindset and high attention to detail. Excellent relationship-builder with senior finance stakeholders; hands-on, adaptable and comfortable in a dynamic environment. Strong leadership capability and ability to develop a high-performing central finance team. Why Join Broadlake Capital / Success Measures Central role in a growing investment platform with exposure to transactions, restructurings and strategic initiatives. Opportunity to shape a scalable finance and governance function with strong portfolio interaction. Success measured by accuracy and timeliness of reporting and filings, strength of controls/internal audit outcomes, effective oversight of fund flows and liquidity, execution of transactions and restructurings, quality of systems and processes, and strength of relationships with portfolio CFOs/FDs. TPBN1_IJ

Job Info:

  • Company: Broadlake Capital
  • Position: Financial Controller
  • Work Location: Dublin
  • Country: IE

How to Submit an Application:

After reading and understanding the criteria and minimum qualification requirements explained in the job information Financial Controller at the office Dublin above, immediately complete the job application files such as a job application letter, CV, photocopy of diploma, transcript, and other supplements as explained above. Submit via the Next Page link below.

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