- Creditors, Credit Control Export, Treasury
- Maintaining relationships with business unit executives and providing assistance in analyzing cost center financial performance.
- Analysis of the general ledger , customer profitability and cost drivers
- Budget preparation and forecasting, month-end financial statement preparation, creditor reconciliations and general ledger reconciliations.
- Monthly submissions of management expense reports to business partner
- Reconciling budget centre expenses and recoveries
- Analysis of financial reports and supporting data