and accurate monthly management accounts and reports for operational management. Assist with Commentary forecasts Preparation of budgets, forecasts and business plans and continued monitoring and review of performance enable robust reporting of variances to the Finance Manager Payment Processing Ensure that payments are complete complete and accurate before processing. Manage the office petty cash; prepare petty cash reconciliation WVAT, VAT and import duty). Keep the Finance Manager up to date with the status of any Tax issues and