- Preparation and control of cashflow and working capital
- Ensuring close control of working capital playing a pivotal role in the company and wider group investment
- Preparing accurate financial and commercial information
- Business partnering across multiple senior stakeholders for your own business unit
- Working closely with finance/commercial processing teams to ensure control compliance
- Being the main finance point of contact for any queries your business unit, and attending face-to-face meeting at multiple sites
- Debtor and Creditor reviews with respective teams
- Maintenance of key tax control accounts
- Working with external auditors re annual audit