the Client
papers for monthly accounts
clients. Participate in client meetings and presentations. Maintain up-to-date knowledge of auditing standards
client facility adjustments and covenant breaches. Presenting requests to the board and Group credit committees
complete and accurate documentation. Prepare and present monthly management accounts. Produce monthly reports
MUST). Must be computer literate, organized and presentable. Overall-as per above. Strong Reconciliations
practices.
MUST). Must be computer literate, organized and presentable. Overall-as per above Strong Reconciliations
management accounts are produced within deadline and presented to key stakeholders with appropriate analysis
Confident in a manual environment Strong Financial Presentation Great Leadership ability Strong problem solving