Specific responsibilities include: Coordinate and develop, in conjunction with the Treasurer and Executive Director, all budgets including those for operations, meeting planning, committees and commissions Prepare financial reports for the Executive Board, Regional Boards and Commission chairs Organize and coordinate Finance and Advisory committee meetings Liaise with investment consultants Liaise with US and Irish accountants, providing all necessary records and documentation required for filing tax reports and preparing audit reports. Prepare monthly financial statements and consolidated quarterly reports Oversee financial and accounting functions for US and Dublin offices Oversee outsourced payroll functions for staff employed via both the US and the Dublin offices Ensure compliance with budgets, policies, and procedures |