Job Description
You will make sure timely and accurate financial information is provided in order for the company to meet its goals and objectives while ensuring statutory requirements are met.
- Preparation of monthly financial information for two or more entities including Management Accounts.
- Handle Trial Balance and maintain Balance Sheet reconciliations.
- Calculation of Cost-plus revenue.
- Ensuring that all of your portfolios follows local statutory requirements, i.e. VAT returns,
- Statutory Financial Documents, returns and all other filings are finished and filed in accordance with local legislation & timelines.
- Partnering and liaising with local financial advisors to ensure efficient information flows to ensure local accounts are accurate.
- Ensuring all processes are SOX compliant.
- Weekly cash-flow monitoring and reporting.
- Liaising with and collaborating with external auditors - at both group and local levels.
- Assistance with forecast and budget preparation.
- Assisting and supporting the Finance Manager with various relevant information requirements.