Reporting to a Finance Manager, you will prepare monthly management accounts and reconciliations for the newly acquired business, in accordance to accounting standards (IFRS) and Group Policies. You will prepare monthly balance sheet reconciliations, variance analysis and commentaries against budgeted and forecasted numbers, as well as prior years' numbers. You will support the Finance Business Partners in budgeting and forecasting by providing relevant information, and help the business to control revenue and costs. You will also identify and implement process improvements where possible, and get to be involved in the system integration project.
Reference no: 31878
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