to the calculation of valuations and reserving. Assist the business with embedded value, SAM, and OCR
to the calculation of valuations and reserving. Assist the business with embedded value, SAM, and OCR
Reconcile bank statements and credit card transactions, assist in preparing presentations, reports, and other
management accounts on a monthly and quarterly basis, assist in the preparation of the Group consolidated Annual
Management Accounts on a monthly and quarterly basis, assisting in the preparation of Annual Financial Statements
Managing Executive and will be responsible for assisting in the development of financial strategies aligned
Management Accounts on a monthly and quarterly basis, assisting in the preparation of the Group consolidated Annual
responsible for Reconciliations preparing reports, and assisting with Cashbook and Fixed asset registers. This
responsible for Reconciliations preparing reports, and assisting with Cashbook and Fixed asset registers. This
compliant Monthly debtors reports to finance director Assisting The National credit manager Reporting Requirements: