Opportunity Description
Key Responsibilities
- Submitting monthly and annual TAX returns to local authorities, including reconciliations (WHT, VAT, Corporation Tax, etc).
- Liaising with auditors regarding queries and information requested during interim and final audit processes.
- Reconcile sub-ledger and general ledger transactions.
- Ensuring that relevant monthly control reconciliations are completed on time and differences are investigated and resolved promptly.
- Responsible for creating and uploading weekly cash flows and liaising with the Financial Control team.
- Supporting Working Capital and Accounts Payable functions.
- Contribute to existing projects and identify areas for future improvement and development.
- Taking responsibility for completing or assisting with completion of relevant ad hoc finance queries as they occur from time to time.
Essential Skills & Experience
- A university degre...
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