Key duties:
- Preparation of monthly accounts and reconciliation of balance sheet accounts;
- Oversee and manage financial transactions, including the monitoring of audit procedures;
- Support and deliver on key accounting projects relating to Brexit and additional related reports;
- Support with commercial analysis of product costs by advising and setting annual cost rates;
- Monitor and control the working capital and the daily Cash Management;
- Maintenance of the fixed asset register;
- Ensure that the regulatory requirements of all statutory bodies are met;
- Involvement in yearend audits, including the preparation of the statutory accounts and liaising with the company auditors;
- Preparation of annual accounts with recommendations on cost control, capital expenditure, insurance and risk management;
- Review of accounts and investigation of variances and setting recovery plans on a timely basis; and
- Ad hoc support for projects.
Reference no: 29730
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