Responsibilities:
· Control the monthly forecasting cycle for project P&L and Balance Sheet, working closely with Project Managers
· Continually review project financials to ensure project Gross Margin and Cash-Flows are maximised
· Run and constantly improve the cost accounting in close cooperation with the cost centre responsible persons
· Assist in the preparation of the annual budget, monthly accounts, statutory accounts
· Control and take responsibility for the reconciliation of all project related accounting ledgers
· Assist in Business planning and investment risk evaluation
· Assist in pricing activities for new opportunities
· Prepare financial forecasts/analysis and models on an ad hoc basis as required
Reference no: 16973
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