Ownership of Group Consolidation accounts – monthly, quarterly, and annually Preparation of Group and Statutory accounts Group and statutory audit management Support and manage Asset level audits preparation Management of the group’s monthly reporting process with global asset teams, along with review of asset financial results Support the Head of Reporting with internal and external reporting, including monthly condensed financial reporting and management accounts Implement a comprehensive financial calendar to track critical deadlines, reporting dates, and compliance requirements Implementation and enhancement of group financial processes and controls Support the Compliance and Legal function in all Finance related matters Reconciliation of key balance sheet accounts Support the budgeting process Preparation of quarterly tax disclosures and monthly cashflow statements Accounts receivable and payable Shareholder interaction to support the business and shareholder requirements ERP implementation support M&A support Ad-hoc support as needed