Supporting Assisstant Financial Controller regarding the financial reporting and forecasting process including responsibility for monthly/quarterly/year end reporting and forecastingSupporting preparation of financial reports for Senior ManagementAssisting the Financial review - Analyse monthly financial information and investigate variancesLiquidity, Treasury & Working Capital analysis, forecasting and reportingOwnership of expense reporting procedures and processSupporting external audit and statutory accountsSupporting Tax and Statutory complianceBusiness partner for the business liaising with other functions (including Finance members) on various ad hoc projects and general day-to-day operations.Supporting Accounts Payable, Accounts Receivable and Payroll.Developing and maintaining relationships with customers and vendorsCompleting bank reconciliations timely.General Ledger Account Reconciliations.Processing relevant Journals to ensure month-end account completeness / accuracy.Supporting external filings / reporting – CSO, Revenue, etc.Supporting cashflow requirements.Administrative Requirements Associated With Role Responsibilities.Supporting Fixed Asset Register for any additions and disposals.Cover for Weekly Payroll when required.