Contribute to the achievement of the company's business objectives by monitoring and reporting variances to budget
Preparation of the European entity management accounts and reporting packs to ensure that these are presented accurately and on time
Develop and maintain financial systems and processes to implement best practice and efficiencies
Manage external relationships with international professional service suppliers to ensure that these are operating effectively and provide the best value to the business
Manage the European entity audit process and preparation of financial statements and corporate tax returns in conjunction with professional service advisors
Manage the European entity indirect tax requirements (including sales tax, withholding tax, payroll taxes) in conjunction with professional service advisors
Support the Director of Finance with the raising of working capital and maintaining covenant reporting with partner banks both locally and internationally
Support the Director of Finance with projects relating to the incorporation of new international companies and set-up of the financial processes of those companies both within the shared service and with local service providers
Support the Commercial Finance team with the preparation of quarterly & annual forecasts
Support the Treasury team with cash requirement forecasts to meet payment obligations
Support the Payroll department with review of consultant commission calculations