- Prepare and review monthly management accounts, including Europe & USA
- Oversee month end close process; including posting month end journals, balance sheet reconciliations and recording all financial transactions
- Assisting with the preparation of the annual budget and forecasts
- Monitoring cash flow and preparing regular forecasts
- Variance analysis
- Overseeing the annual audit, and supporting external auditors
- Prepare and submit VAT & Intrastat returns for UK and international entities
- Assisting and supporting Group Finance team with project work