including overseeing the monthly balance sheet , banking and inter-company reconciliations Completion of payments Executing payments and performing monthly bank reconciliation Preparation of indirect and Corporate budgeting and forecasting Ensuring Accounting standards and policies are adhered to Reporting consolidated Spanish GAAP etc) Liaison with external Auditors, Bank Managers and Tax specialists Assisting in process
Creditors control account reconciliation and processing Bank Reconciliations Monthly VAT Calculations and VAT
and mitigate risks. Ensure quality construction standards and the use of proper construction techniques