Duties for the role include:
- Management of a monthly control checklist, collating information from various finance departments to present to senior finance and the country managing partner
- Reconciliation and review of balance sheet/inter-company accounts, investigation into variances and resolution
- Review of monthly bank reconciliations and support for cash management & treasury processes within the team
- Support the MI Team Leader with co-ordination of the year-end UK audit
- Review of complex UK/Global month end provisions including investigation of monthly variances for your area of responsibility
- Providing monthly reporting packs to budget holders
- Opportunity to get involve in various projects within the team and with other finance teams as required
You must be qualified ACCA/ACA/CIMA and have experience in a similar role.
To be considered for this role you must be immediately available or on a short notice due to the urgency of the role.
Reference no: 9297
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