Reporting to the Controller, this role is responsible for coordinating month-end close activities and ensuring accurate financial reporting in line with corporate timelines.
The position involves loading monthly results into the consolidation system, preparing balance sheet reconciliations, and supporting audit and compliance processes.
Key Responsibilities: Prepare monthly financial reports, journal entries, and analytical reviews of variances.
Complete monthly consolidation and reporting for the site.
Manage cash flow reporting and credit arrangements, including