Job Description
This role offers significant exposure to senior stakeholders and offers excellent hybrid working options.
Responsibilities:
- Month end responsibilities for multi-entities group
- Balance sheet reconciliations ownership
- Managing the intercompany accounting and reconciliation process
- Managing daily cash flow reporting and forecasting
- Supporting management reporting of all entities across UK and Europe
- Liaising with external auditors
- Preparation of statutory accounts (IFRS, SOX)
- Preparation of quarterly VAT returns
- Management of General Ledger
- Weekly Payment run management
- Process improvements