Preparation of the profit and loss, balance sheet, and cash flow statements as group consolidated accounts on a monthly basis to a standard timely schedule.
Day to day cash book reconciliation across international group structure.
Management of PAYE and international pay roll.
Preparation of input and output compliance for VAT accounting.
Maintain a monthly fixed asset and depreciation ledger.
Preparation of the company’s statutory accounts for its annual external audit.
Reconciliation of paper positions, monitoring of margin requirements.
Required Knowledge, Skills, and Abilities
Fully Qualified accountant ACCA ACA CIMA
Strong problem solving and analytical skills
Strong management accounting experience
Highly organized
Must possess strong presentation skills
Relevant industry experience a must
Reference no: 107082
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