Job Description
You will be responsible for key financial processes within the Group, including the monthly close process, ensuring timely and accurate submissions to Head office.
- Managing key aspects of the P&L and Balance Sheet
- Ensuring SOX controls are maintained over these areas
- Balance Sheet Reconciliations are completed
- Preparation and reporting of Monthly results to US Head office
- Preparation of monthly reports for local management
- Liaising with local SSC team on relevant issues