reporting requirements. In this role, you will be assisting the Group Financial Manager with the consolidation statements. Additionally, you will be responsible assisting with the reviewing and reconciling intercompany researching and resolving accounting discrepancies, and assisting with the implementation of new accounting standards understanding of international accounting standards. Assist with the consolidation process and ensure accuracy resolve accounting discrepancies and variances. Assist with the implementation of new accounting standards
goods) Assist with the preparation of monthly management accounts Assist with yearly budgets Assist with yearly audit Assisting with weekly cash flow forecasting Balance sheet reconciliations Assist Snr Accountant
maintenance and repair services Assisting with Legal and Conflict Resolution Assistance Sending monthly reporting Ensure invoices are sent out on a monthly basis Assist the Board of Trustees in determining replacement
tax portfolio in accordance with various acts Assisting with research on tax opinions required by clients
The main objective of the position will be to assist the Financial Manager with financial activities