team. To provide accurate, up-to-date financial information for the company and ensure all financial transactions
processing and reconciliations. Analysis of financial information. Prepare monthly management accounts. Compile
Cost Analysis: Provide meaningful profitability information and recommend ways to optimise OEM profitability
Prepare financial reports and returns. Generate information and reports for internal and external use. Review
finance reports and statistical data. Generate information and reports. Investigate and action financial