as a Finance Business Partner to the business assisting to the Commercial Team providing financial information management Inventory reconciliations / ensuring warehouses stock reconciles to ledger Additional Controller
quarterly Ad-valorem returns, provisional tax, STC etc) Assist with Performing the VAT reasonability test Maintenance forecasts to New York as well as the annual Form 5471 Assist with Preparation of the annual tax pack and completion pack. Assistance with all tax related queries/audits Statutory Annual Financial Statements: Assist and
audit findings are resolved; Assist with Group internal audit (KPMG) and assist with PwC external audit;
costing function; full fixed assets management and assist the Financial Manager when required; SAGE X3 ERP