financial models.
financial models.
accurate financial information. Accounts to Trial Balance. Process financial information (journals/debit-/credit
responsible for providing accurate and timely financial information, supporting cost control initiatives, and closely with various departments to gather financial information, support business operations, and provide
working reporting, analyse and evaluate financial information, make decisions based on this information
monthly management accounts, interpret financial information relevant to operations. Analyse and review
planning, audit planning, analyse and evaluate financial information, make decisions based on this information
management with accurate and timely business and financial information
Responsibilities include:
Review all financial information, and analyse numbers
Monitor monthly performance of each