• To monitor and process the budgeting, forecasting and reporting (including exception reporting) for a range of offices in the region.
• Analyze the balance sheet accounts against the Offices in your respective region and ensure information is accurately and effectively reported.
• Provide cash forecast for each Office within the Region in advance of each Financial Year.
• Work with Offices to ensure cash management is accurately reported
• Ensure consistency across all processes, both within the region and across other regional hubs.
• Operationally, ensure consistency of application of policies and financial processes, both within the region and across other regional hubs, to include:
Requirements
Skills/Experience:
• 2-3 years experience in similar area.
• A part-qualified accountant, bookkeeper or similar relevant qualified experience.
• Experience of preparing monthly management accounts.
• IT literate to an advanced level.
• Strong interpersonal and communication skills
• Fluent written and spoken English
Company offers
Klausimai ir atsakymai
Užduokite klausimą:
Jūs galite pateikti klausimą darbdaviui. Klausimas atsiras skelbime iškart, kai tik darbdavys atsakys į jį. Lanktytojai negalės matyti jūsų el. pašto adreso.
Persiųsti
Nuoroda į skelbimą bus pridėta automatiškai žinutės pabaigoje.