Oversee full set of accounts and ensure timely monthly closing.
Review monthly management accounts, including variance analysis against budget and prior periods.
Ensure accuracy, completeness, and compliance with applicable accounting standards and internal policies.
Coordinate and manage external audit, tax filings, and statutory reporting requirements.
Cashflow & Treasury Operations
Prepare and maintain rolling cashflow forecasts, with clear visibility on funding gaps and liquidity position.
Monitor daily cash position, working capital movements, and payment cycles.
Execute treasury functions including payments, fund transfers, and utilisation of financing facilities. Take ownership of surplus cash management by optimising returns through placement in short-term deposits and other low-risk instruments, in line with treasury policies and liqui...
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