Preparing for year end audit for specific entities Preparing cash management daily bank balance sheet Group consolidated audit results Assisting with preparing monthly Group management accounts Compiling
entities Prepare for year-end audit for specific entities Preparing of cash management daily bank balance sheet of group consolidated audit results Assist with preparing monthly group management accounts Compiling information
reconciliations Preparing audit reports and presenting their findings to management Recommending changes to
financial, accounting, audit or fiscal matters Responsible for the management of the Finance team and