Group Management Accounts.
such as accounts payable, cost accounting, and treasury duties. It involves generating financial reports
Forecast Annual External Audit Internal Audit Treasury/ Banking Analysis/Special Requests Board &
(QE) experience will be an advantage.
Business Unit Decision Support, Financial Accounting, Treasury, Revenue Assurance, Expenses Management, Statutory Support FP&A with budget process Tax Management Treasury management Banking relationship management Banking master data management Relationship with Group Treasury team Nexio Cash management Foreign currency management
and prior experience in financial accounting and Treasury processes, e.g., Bank Statement Processing, Bank