Manage and review accurate monthly management accounts for parent entity, subsidiaries, and joint ventures.
Collaborate with deal teams on technical accounting matters and prepare cash flow analysis.
Engage with external partners, auditors, and debt providers to ensure compliance and improve financial information.
Develop Key Performance Indicators (KPIs) for management information and analyze data to identify value-added initiatives.
Oversee the preparation of annual financial statements and manage audits for parent and related entities.
Coordinate impairment analysis and monitor changes to accounting standards to assess impact.
Proactively identify technical accounting issues and improve reconciliation, analysis, and substantiation of financial information.
Maintain SOX controls and internal policies, and develop Finance team members through training and career progression.