• Weekly consolidated cashflow forecasting and treasury management.
• Contribute to month end reporting (debtors & cash initially)
• Oversee monthly reconciliation of intercompany balances
• Contribute to preparation of quarterly and year end statutory group accounts
• Transactional record keeping for parent companies Interested candidates will be qualified ACA or ACCA and be technically strong, with a detailed understanding of IFRS as well as being able to prepare consolidated group accounts for groups with foreign subsidiaries and therefore foreign exchange translations and revaluations. If this sounds like the opportunity you are looking for please contact me now to discuss in more detail