Financial Reporting & Control
· Performing balance sheet reconciliations
· Implementation of month end process improvements and controls
· Supporting on the year-end and interim statutory audits
· Supporting the preparation of management accounts and statutory financial statements
Tax
· Preparation of VAT returns
· Monitoring of US Sales Tax returns
· Supporting on R&D tax credits submissions
· Transfer-pricing
Ad-Hoc Reporting & Analysis
· Build-out of custom reports in Netsuite for month end
· Working with the FP&A time to understand variances between actuals and budget
· Support on various external reporting requirements, e.g. investors, lenders, HMRC
· Ad hoc financial analysis and filings as required