in providing management accounting support to allocated functions. To manage team to ensure set goals allocation between GL account. Prepare detail cost information to enable the managing of the costs/budgets dules for GL accounts under your control. Reconciliation of monthly SAP and Management reporting results
FI module and profit centre accounting to ensure alignment with management reporting objectives and requirements position papers on accounting treatments to Reporting Practices Committee. Manage relationship with External includes all the GL accounts feeding into the BU Financial trail balance and BU management accounts. Scrutinise and deferred tax accounting/disclosure in BU with support from BU Tax advisor. Managing team members Manage