- Preparation, analysis and reporting of full monthly management accounts
- Monitoring of company cash flow and working capital requirements.
- Ensure all internal controls are monitored and strictly adhered to.
- Liaison with auditors and tax advisors as required
- Supervision of daily trading margins and cost controls.
- Coordination of annual budgeting process.
- Submission of all statutory returns in a timely manner.
- Qualified Accountant
- Experience in financial control in a high-volume transactional business
- Proven team player
- Flexible and hard working