Financial Controller
Current- Preparing, analysing and executing financial reports- Performing monthly Balance Sheet reviews- Ensuring the post-close accuracy and validity of General Ledger accounts, including execution of Balance Sheet reconciliation to the applicable standards- Maintaining financial systems - Analysing P&L accounts and Balance sheet- Ensuring all aspects of the inventory and Profit transfer release are well managed and P&L reporting is accurate - Participating in the preparation of daily financial statements to the management - Cash flow management - Maintaining and controlling Cash Flow of the group of companies