Job Description
- Drive planning & reporting on balance sheet aspects for planning accounting
- Deliver detailed financial analysis focus on cash & working capital elements in P&L, Balance Sheet & statutory cash flow to support cash requirements & working capital cash forecasting
- Delivering regional overview to management on cash flow
- Assisting with reporting on regional cash flow & working capital variances
- Supporting the drive for accountability on accurate cash flows & working capital management against budget & forecasts
- Supporting preparation of consolidated financial presentations for regional management & International Head Office
- Review, reporting & management of Forex exposure within regional balance sheets
- Identification & implementation of process improvements
As a graduate qualified accountant, with strong FP&A, financial planning & analysis & excellent balance sheet accounting and cash flow reporting skills gained within an international, multicurrency environment, you will demonstrate the ability and gravitas to deliver meaningful solutions within a challenging and dynamic business. The role demands a detailed approach, a “can do – will do” proactive attitude, an energetic approach and the personality to build robust relationships with key stakeholders. Immediate start available.