• Analyse financial information to enable business profitability and growth. • Prepare journal entries for month-end and year-end journals. • Produce accurate management reporting to support key decision making. • Process payment runs as requested and required. • Assist with producing: - o Statutory and management accounts in line with the group timetable (P&L and Balance Sheet) including variance analysis and commentaries. o Monthly balance sheet reconciliations ensuring all actions required are clearly documented for review by Head of Finance. o Year-end audit deliverables including preparation of year-end schedules and completion of audit testing. o Relevant commercial analysis e.g., margins, pricing and weekly sales. • Provide assistance with: - o Management of capital expenditure. o Annual budgeting, reforecasting, and financial planning processes. • Comply with all financial regulations, including participation with periodic regulatory reporting. • Adhere to PCI regulations to ensure compliance in accordance with Company policy. • Maintain historical records according to legislation