Liaising with other Group functions to ensure that supporting analysis for the annual report is prepared and delivered to meet the Group’s external reporting requirements.
Assisting with the preparation of monthly consolidated Balance Sheet and Cash Flow.
Preparation of monthly Balance Sheet reconciliations.
Providing support to the budgeting and forecast processes through the preparation of Group balance sheet projections and related notes and analysis.
Making recommendations for amendments to the Group’s chart of accounts, systems, processes and procedures.
Preparation of the Group’s foreign direct investment return on a quarterly basis for submission to the Office of National Statistics.